Our client is a leading global organisation in undertaking turnkey contracts; delivering projects for high rise buildings, power plants, Oil & Gas upstream and downstream.
Oversee the daily operations of the finance and accounting department.
Responsible for all aspects of financial forecasting and reporting.
Cash-flow management and dealing with the bankers on all financing matters.
Coordinate preparation and management of annual budget and financial reports.
Coordinate and reconcile collection from drivers on a monthly basis.
Analyse and provide explanation for all significant variances against the monthly forecast.
Conduct cost accounting, cost efficiency and monitor performance including fixed and variable pricing analysis.
Recommend and implement improvements to operating processes.
Support operations team for on-going and upcoming projects including project costing.
Manage the submission and compliance with all tax and other regulatory requirements.
Coordinate financial audits and provide recommendations for procedural improvements
Any other assignment as instructed by the management.
Essential Skills / Qualifications:
Bachelor’s degree in Accounting or Finance / CIMA / ACCA with minimum of 7 years related experience
Possess excellent interpersonal and leadership skills and problem solving skills
Ability to organize workload and manage multiple tasks/ projects in a dynamic environment
Understanding of the company’s system interface and transaction mapping
Strong proficiency in Excel or relevant accounting tools
Energetic, self-motivated, and results-oriented