You will be responsible for timely periodic financial and management reporting, budgeting, forecasting and providing commentary and analysis for the funds under management to support decision making.
You will be responsible for compliance and ensuring audit, statutory and tax requirements are met; cash management and forecasting; and monitoring of Fund group debt facilities including ongoing compliance with debt facility covenants. You will assist to handle investor/ analyst queries relating to financial results; assist in tax planning, following up and reviewing financing documents and closing documents of investment deals. You will also provide ad hoc finance support as required, prepare tax calculations, maintain tax records and liaise with tax advisers.
Pre-requisites:
- Degree / ACCA in Accountancy or equivalent professional qualifications
- Minimum 3 years of experience in related role
- Good PC skills: strong Excel (data manipulation, analysis, modeling) and PowerPoint
- Ability to demonstrate a high level of accuracy and attention to details when completing tasks
- Initiative, able to multi-task and deliver within tight deadline
- Strong communications in English & Mandarin as well as good interpersonal skills
- Committed team player, meticulous
|