Job Responsibility- To plan, execute and monitor all related matters relating to company's cash flow management and payment arrangements;
- Assists to prepare relevant consolidated financial and management reports;
- Coordinates annual audit process and compliances;
- Liaises with external parties on auditing, tax, secretarial matters, bankers, suppliers & etc.
- Compiles the operating plans and quarterly reports of the company;
- Any ad-hoc tasks as required by management from time to time.
Job RequirementsKey skills, knowledge and attributes
- Candidate must possess at least a Diploma / Degree in Finance
- Minimum 2 years of related working experience.
- Possess good interpersonal / communication skills.
- Able to work independently and as part of a team.
- Intermediate/Advance computer skills.
- Able to analyze, understand and interpret basic financial data. Possess good problem solving skills.
Job Benifits
- Dental
- Miscellaneous allowance
- Medical
- Staff Purchase/ Discount
- Freeflow Coffee