Job Description
• Collecting, interpreting, and reviewing financial information
• Predicting future financial trends
• Reporting to management and stakeholders, and providing advice how the company and future business decisions might be impacted
• Producing financial reports related to budgets, account payables, account receivables, expenses etc.
• Developing long-term business plans based on these reports
• Reviewing, monitoring, and managing budgets
• Developing strategies that work to minimize financial risk
• Prepare business activity reports, financial statements, and forecasts.
• Make sure financial legal requirements are met.
• Developing financial reporting systems.
• Find ways to reduce or maintain costs by studying financial reports and business processes.
• Analyze market trends to discover business opportunities and maximize profits.
• Aid management in financial decisions.
• Maintain up to date financial system knowledge.
• Analyzes revenue, expenses, cash flows, and balance sheets.
• Assists management to make financial decisions.
• Other tasks assign by direct manager.
Job Requirement
• MBA or Bachelor Degree in Accounting/finance.
• At least 4 Years’ experience with Finance & Accounting.
• QuickBooks or Accounting software experience Preferred.
• Strong organizational, analytical and interpersonal skills;
• Taxation knowledge with all kind of taxation and good relationship with Taxation Dept.
• Ability to work well under pressure and within short deadlines.
• An understanding of the financial reporting and auditing requirements
• Ability to communicate well in both written and oral English proficiency
• Attention to detail. Strong quantitative skills, management skills.