Industry: Finance and Accounts, Management
Location: Singapore
Job Description:
Responsibilities: Accounting, Tax and Treasury Management
• Be in charge of consolidation of Singapore Group’s Financial Accounting
• Review of Singapore Company monthly closing operations based on the Financial Accounting
• Filling of taxes (corporation tax, withholding tax, GST, etc) and respond to tax authority, if any
• Be in charge of annual financial audit including responding to Auditors
• Handle Treasury Management — daily/monthly cash flow Foreign exchange dealing and bank negotiations Provide support to financial planning & strategy and other management issue
• Planning and implementing capital and business restructuring
• Improving Forex management and building efficient group cash management
• Financial DD for M&A and simulation olfactory investment to achieve high return and acquire tax incentive
• Transfer pricing practice
• Tax planning to earn various tax incentives in Singapore and Listing planning in Asian Market
• Responding to various instructions other than the above
Administrative
• Lead a team of F&A staff
• Development of staff through training plan and Job rotation
Requirements:
• CA / CPA
• Stable job history
• Supervisory experience would be a plus