
3 Ang Mo Kio Electronics Park Rd, Singapura 569058
Singapore - Singapore - Singapore
Singapore - Singapore - Singapore
DESKRIPSI PEKERJAAN
Responsible in preparing management reports with metrics, KPI and variance analysis for all business units
Conduct financial analysis and develop financial models, and provide recommendation to management for business strategies
Assist in KPIs setup and assessment for measuring the performance of the company
Coordinate with internal departments for regular management reporting, budget variance and other management reporting related matters
Drive cashflow forecast process and provide various cashflow analysis
Supervise the corporate cash and maintain corporate liquidity
Carrying out daily cash positioning and preparing monthly treasury documents
Derive the Full-Loaded Costing for each product
Work with various stakeholders to ensure manage the budget
Handle staff claim process
Any other ad-hoc duties as assigned by superior from time to time.
REQUIREMENT
Degree in Finance, Accounting or related discipline with a recognized professional accounting qualification is preferred 3-5 Years related experience with General ledger / audit background. Candidate with Financial Planning & Analysis (FP&A) experience will be added advantage Proficient in Excel (e.g. Formulas, Pivot tables) Positive and proactive attitude takes ownership in tasks assigned with a strong commitment to task completion even when faced with challenges/tight deadlines. Detail oriented with a high level of organizational and communication skills Good analytical and presentation skills
DETAIL LOWONGAN
- Umur -
- Min GPA -
- Min. Qualification S1/D4
- Min Experience Staff
LOKASI KERJA
Alamat
Singapore