Finance Manager is responsible for all accounting and finance aspects of the business including preparing monthly financials, year-end audit and taxation reports and managing day-to-day financial operations.
- Coordinating, overseeing, and maintaining all accounting and financial aspects of the business.
- Preparing monthly financials, year-end and local audited accounts, and taxation reports.
- Managing day-to-day financial operations and overseeing internal controls refer to IFRS standards.
- Working closely with management and executive teams in setting financial targets and implementing business strategies.
- Involve in business case financial modelling and coordinate in projects financial management.
- Calculate costing of the products and recommend on pricing structure to support in the business decisions.
- Monitor expenditure in cost efficiencies manner and overseeing financial risks management.
- Prepare weekly/monthly/yearly cash flow forecasting and taking lead in annual budgeting process.
- Analyze working capital, financial ratios, profit and loss statements and cash flow statement.
- Analyze profit by SKU, by customers, by segments, by item group, etc.
- Handle internal/external auditing process and responsible for tax compliance.
- Prepare ad-hoc reports and/or tasks as requested by management.
- Coordinating, overseeing, and maintaining all accounting and financial aspects of the business.
- Preparing monthly financials, year-end and local audited accounts, and taxation reports.
- Managing day-to-day financial operations and overseeing internal controls refer to IFRS standards.
- Working closely with management and executive teams in setting financial targets and implementing business strategies.
- Involve in business case financial modelling and coordinate in projects financial management.
- Calculate costing of the products and recommend on pricing structure to support in the business decisions.
- Monitor expenditure in cost efficiencies manner and overseeing financial risks management.
- Prepare weekly/monthly/yearly cash flow forecasting and taking lead in annual budgeting process.
- Analyze working capital, financial ratios, profit and loss statements and cash flow statement.
- Analyze profit by SKU, by customers, by segments, by item group, etc.
- Handle internal/external auditing process and responsible for tax compliance.
- Prepare ad-hoc reports and/or tasks as requested by management.