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Senior Financial Analyst

Salary undisclosed

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Key Responsibilities:

  • Accounting and Financial Reporting
  • Maintain accurate financial records and ensure compliance with accounting standards.
  • Prepare and analyze financial statements, reports and forecasts.
  • Develop budgets, capex plan and cost projection.
  • Treasury and Cash flow Management
  • Perform daily cash/bank transaction.
  • Perform cash flow plan and forecast.
  • Structure financing agreements to optimize cash flow and minimize financial risk.
  • Manage relationship with banks, investors and financial institutions.
  • Financial Planning and Forecast
  • Develop, maintain and improve financial forecast.
  • Annual budget, quarterly forecast and variance analysis.
  • Scenario analysis and risk assessment to support strategic decisions.
  • Taxation and Compliance
  • Ensure compliance with tax regulations and other statutory requirements.
  • Identify and apply for tax incentives or government subsidies for new entity.
  • Handle foreign exchange regulations.

Requirements / Preferred Qualifications:

  • Over 10 years of Finance and accounting experience.
  • Bachelor or higher degree in Finance, Accounting or a related field.
  • Professional certifications (e.g. CPA, ACCA, CMA, CFA) are a plus.
  • Excellent knowledge of financial accounting, taxation laws and compliance requirements.
  • Fluent in English with excellent communication and stakeholder management skills
  • Experience in semiconductor or manufacturing industry is preferred
  • Proven experience in Finance and accounting setup for new factory or large-scale expansion projects.
  • Proficiency in accounting software (SAP) is preferred.
  • Proficient in Microsoft Office (PowerPoint, Excel)

Key Responsibilities:

  • Accounting and Financial Reporting
  • Maintain accurate financial records and ensure compliance with accounting standards.
  • Prepare and analyze financial statements, reports and forecasts.
  • Develop budgets, capex plan and cost projection.
  • Treasury and Cash flow Management
  • Perform daily cash/bank transaction.
  • Perform cash flow plan and forecast.
  • Structure financing agreements to optimize cash flow and minimize financial risk.
  • Manage relationship with banks, investors and financial institutions.
  • Financial Planning and Forecast
  • Develop, maintain and improve financial forecast.
  • Annual budget, quarterly forecast and variance analysis.
  • Scenario analysis and risk assessment to support strategic decisions.
  • Taxation and Compliance
  • Ensure compliance with tax regulations and other statutory requirements.
  • Identify and apply for tax incentives or government subsidies for new entity.
  • Handle foreign exchange regulations.

Requirements / Preferred Qualifications:

  • Over 10 years of Finance and accounting experience.
  • Bachelor or higher degree in Finance, Accounting or a related field.
  • Professional certifications (e.g. CPA, ACCA, CMA, CFA) are a plus.
  • Excellent knowledge of financial accounting, taxation laws and compliance requirements.
  • Fluent in English with excellent communication and stakeholder management skills
  • Experience in semiconductor or manufacturing industry is preferred
  • Proven experience in Finance and accounting setup for new factory or large-scale expansion projects.
  • Proficiency in accounting software (SAP) is preferred.
  • Proficient in Microsoft Office (PowerPoint, Excel)