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As the Finance and Accounts Manager, you will oversee the full spectrum of financial operations for the main entity and its subsidiaries. Your portfolio will be highly diverse, encompassing complex tax compliance (including Transfer Pricing and Global Minimum Tax), treasury management, group consolidation, and strategic financial planning.
Job Responsibility:
Prepare and present accurate monthly financial statements, management reports, and forecasts to Top Management
Manage the full spectrum of finance and accounts for other subsidiaries, ensuring accurate financial reporting
Prepare Quarterly Financial Reports for Group consolidation
Develop, manage, and monitor annual budgets and financial plans
Conduct variance analysis and provide actionable insights on financial performance to support business decisions and strategic planning
Identify cost-saving opportunities and efficiency improvements across the organization
Provide strong leadership, financial guidance, and support to other business departments
Oversee Accounts Payable (AP), Accounts Receivable (AR), General Ledger (GL), and Project Ledger functions
Manage the treasury function, proactively liaising with bankers regarding required facilities, funding, and bank queries
Ensure timely and accurate processing of invoices, payments, and reconciliations
Ensure strict compliance with all tax regulations, with a strong focus on Services Tax (SST), Corporate Tax, Transfer Pricing, and Global Minimum Tax. Ensure timely submission of all tax returns
Ensure compliance with all relevant accounting standards (MFRS/IFRS) and regulatory requirements
Liaise effectively with external auditors, tax agents, and regulatory authorities
Assess financial risks and implement robust strategies to mitigate them
Ensure stringent internal controls are in place to safeguard company assets and maintain high ethical standards
Requirements:
Minimum Bachelor's degree in Finance, Accounting, or a related field
Minimum of 10 years of progressive experience in finance or accounting roles
Prior experience in the financial services, leasing, or hire purchase sector is highly advantageous
A deep understanding of financial principles, corporate tax, and budgeting
Proficiency in financial software is essential
Knowledge of the XERO system will be an added advantage
Excellent analytical, organizational, and problem-solving skills
Flexibility to juggle multi-functional tasks and excellent time management
Exceptional written and verbal communication skills, with the proven ability to present complex financial information clearly to non-financial stakeholders
Strong leadership and team management abilities
A high level of integrity, professional ethics, and strict confidentiality in handling sensitive financial and tax matters is non-negotiable
Nice to have:
Knowledge of the XERO system
Prior experience in the financial services, leasing, or hire purchase sector