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Responsibilities
- Manage the day-to-day financial operations within the company. Handle full spectrum of accounts and reporting functions.
- Responsible for monthly account reconciliations and reconciliations of inter-company balances.
- Oversee financial planning and business performance analysis, including budgeting, forecasting as well as cash flow.
- Lead the finance team in compliance with accounting standards, GST regulations, internal control procedures and other relevant rules and regulations.
- Ensure the accuracy of financial statements and adhere to corporate reporting timelines.
- Ensure compliance with established financial processes, local compliance requirements, financial reporting and review of revenue, expenditures, asset management, tax and management reporting.
- Possess the knowledge to evaluate the company's P&L and plan for effective finance strategies.
- Review suppliers and customers transactions, including payments and creditor reconciliations.
Requirements
- Degree in accounting, finance, business or a related field.
- 4 to 5 years of relevant work experience with good understanding of F&B Industry
- Experience in financial planning, analysis and/or strategy experience.
- Experience in startup environment an advantage.
- Ability to handle full sets of accounts.
- Experience in Xero Accounting Software.
- Excellent analytical ability and Excel spreadsheet skills
- Good planning and organisation skills
- Ability to understand concepts and ideas quickly and model data in meaningful ways.
- Experience in working across functions and cultures and dealing with remote teams
- Has strong sense of operational discipline and ability to meet deadlines
- Good communication & interpersonal skills
- Able to start work within short notice
Responsibilities
- Manage the day-to-day financial operations within the company. Handle full spectrum of accounts and reporting functions.
- Responsible for monthly account reconciliations and reconciliations of inter-company balances.
- Oversee financial planning and business performance analysis, including budgeting, forecasting as well as cash flow.
- Lead the finance team in compliance with accounting standards, GST regulations, internal control procedures and other relevant rules and regulations.
- Ensure the accuracy of financial statements and adhere to corporate reporting timelines.
- Ensure compliance with established financial processes, local compliance requirements, financial reporting and review of revenue, expenditures, asset management, tax and management reporting.
- Possess the knowledge to evaluate the company's P&L and plan for effective finance strategies.
- Review suppliers and customers transactions, including payments and creditor reconciliations.
Requirements
- Degree in accounting, finance, business or a related field.
- 4 to 5 years of relevant work experience with good understanding of F&B Industry
- Experience in financial planning, analysis and/or strategy experience.
- Experience in startup environment an advantage.
- Ability to handle full sets of accounts.
- Experience in Xero Accounting Software.
- Excellent analytical ability and Excel spreadsheet skills
- Good planning and organisation skills
- Ability to understand concepts and ideas quickly and model data in meaningful ways.
- Experience in working across functions and cultures and dealing with remote teams
- Has strong sense of operational discipline and ability to meet deadlines
- Good communication & interpersonal skills
- Able to start work within short notice