Job Responsibilities:
Plan, organize, and execute financial tasks and projects of the organization.
Explains, presents and analyzes the financial performance and plans of the business including P&L, budget variance, OPEX, cost management, cost benefit, and customer profitability.
Supports business leaders with decision making from Finance perspective with solid data analysis, actionable insights, advice, and recommendations on historic and the future financial performance.
Ensures that Finance supports the business in maximizing revenue, profitability, and cost efficiency.
Oversee bookkeeping and monthly submission of schedules, financial statements and other reports.
Manages financial forecast, including an analysis of key business drivers and timely communication of risks and opportunities.
Review and evaluate transactions in compliance with regulations
and policies.Performs testing of controls to test effectiveness of control framework and recommend adjustments in procedures.
Communicates effectively any control gaps to ensure remedial actions.
Experience and Requirements:
Has a Bachelor's degree in Finance/Accountancy (preferably a CPA or with master's degree but not necessarily).
Has a minimum one-year audit and financial controls experience.
Preferably with experience working in a joint venture set-up
Excellent oral and written communication skills
Ability to translate financial analysis into business opportunities, and prioritize them according to business value and impact.
Analytical thinker with strong conceptual and problem-solving skills.
Meticulous attention to detail with superb organizational skills.
Ability to work under pressure and meet tight deadlines.
Ability to work independently and as part of a team.
Excellent report-writing and communication skills.
Solid proficiency in Microsoft Office, SAP, QuickBooks and other financial planning software.
Job Type:
Full-time