Responsibilities:
- Prepare Finance Analytical report
- Monitor liquid capital
- Engage in Financial Planning, Forecasting & Budgeting analysis across the several entities of the Group
- Manage and provide financial best practices around areas such as credit control, billings, receivables, payables
- Assist in monthly account closing as well as analyzing and investigating variances
- Prepare group consolidated accounts
- Assist in preparation of various financial monitoring reports for the Senior Management
- Ensure the procedure manuals are kept up-to-date and the required control procedures are properly implemented
- Work collaboratively with other Financial & Accounting colleagues to identify working capital best practices in order to optimize internal processes
- Assist in any ad-hoc duties when required
Requirements:
- Bachelor’s degree in Business, Finance and/or Accounting.
- At least 3-5 years of experience as a Financial Analyst, Financial Accountant, Controller or a similar position
- Experience in the Banking or Financial Services industry
- Knowledge of FRR, IFRS or HK Reporting Standards
- Treasury experience is a plus
- Certification with CPA