Job Duties: Manages accounting functions, reviewing of reports, statistics detailing financial results. Establishes and maintains accounting practices to ensure accurate and rel…
Job Descriptions: Prepare accurate and timely financial reports, including P&L statements, balance sheets, and cash flow statements. Monitor and control regional budgets, provid…
Provide business insights and support to improve the financial sustainability of their services Part of the Costing and Pricing team which works closely with various stakeholders …
Job Responsibilities: Provides analytical interpretation of Asia's financial results monthly and annually. Comparing actual results to plans and forecasts and recommending measu…
Oversee all finance and accounting tasks, covering budgeting, accounting, auditing, and financial reporting. Develop, review, and authorize workflows for payments, contracts, and …
Responsibilities: Execute daily tasks related to Account Receivables and Fixed Assets Compile monthly bank reconciliation reports Oversee and handle grants administration Ensu…
Review and assess the reasonableness of approval papers for purchases and budget top-ups, ensuring adherence to financial policies and procedures. Liaise with internal stakeholder…
Responsibilities: General Ledger: Undertake month-end closing tasks, encompassing activities like closing/opening accounting periods, setting up foreign exchange rates, and m…
Guide and oversee the Accounts Payable (AP) Team, ensuring the timely and precise recording of payables and expenditures. Planning and monitoring cash flow to ensure effective fin…
Configure ledger settings and conduct testing for new product types in the ticketing system Verify the accuracy and completeness of all journal entries from SNAPP before interfaci…
Collaborate with suppliers, customers, and business departments on Accounts Payable (AP) matters, addressing issues related to payments, payment status, billings, and ensuring prop…
Responsibilities: Maintain the financial records using Microsoft Dynamics. Main full sets of account for 2 – 3 subsidiaries. Manage financial operations encompassing procuremen…
Responsibilities: Lead the annual budgeting process, collaborating closely with department heads to ensure precision and alignment with the company's strategic objectives. Devel…
Responsibilities: Financial Planning and Analysis: o Formulate and implement financial strategies to attain organizational objectives. o Analyze and prepare financial reports,…
Responsibilities: Accountable for the timely and accurate consolidation of group accounts and annual financial statements. Conduct insightful analysis of results, encompassing r…
Responsibilities: You will be responsible for managing cashflows, preparing management reports, statutory reports and other reports on a monthly basis. You will assist in the prep…
Responsibilities: You will be responsible for managing cashflows, preparing management reports, statutory reports and other reports on a monthly basis. You will assist in the prep…
Prepare regular treasury reports for management and accounts closing. Manage hedge documentation for swap transactions. Validate, settle, and account for treasury transactions, i…
Review month-end closing activities for few entities & participate/organise finance meeting. Handle monthly, quarterly & mid year financial performance of the Group. Prepare fina…
Responsibilities: Prepare monthly reports on business unit performance, emphasizing trends and variations in key performance indicators, including revenue, cost of sales, expense…