Prepare and review month-end closing, perform detailed variance analysis, cash flow management, planning, budgeting and forecasting and liaising with various business stakeholders independently
Assist in the monthly consolidation and financial reporting of the Group
Analyse divisional reports to management and preparation of board materials on financial performance
Ensure compliance with accounting, tax, statutory and regulatory requirements
Handle financial year-end audit, coordinate with auditors & prepare the necessary schedules
Formulate and implement policies for Keppel Capital group of companies and identify improvement opportunities in internal controls, processes, policies and procedures
Manage tax planning, including identifying opportunities to improve and achieve tax savings
Manage and provide guidance for team members
Support system implementation/improvements as necessary
Support in ad hoc projects and other initiatives as assigned
Participate in corporate development initiatives to support and facilitate business growth
JOB REQUIREMENTS
Good accountancy degree, CPA qualification will be an added advantage
Minimum 10 years of relevant work experience
Knowledge of SAP, BPC and Hyperion preferred
Familiar with Singapore/International financial reporting standards, strong accounting knowledge and able to draft accounting papers
Possess good understanding of work processes & internal controls and adopts a positive learning attitude
High achiever, fast learner, able to work in a fast pace environment and driven to meet tight deadlines
Analytical, resourceful & possesses good problem-solving capability
Self-motivated, meticulous, able to work independently and proactively within a team
Experience in managing staff and can multitask well