We're seeking for people oriented individuals, who will be responsible oversee accounting activities and ensure that ledgers accurately reflect money coming in and out of the company.
Job Responsibilities:
Tracking operations performance through financial metrics (cashflow, transactional performances)
Supervise monthly cash flow movement
Built and update f/s projection
Prepare investor report, deck & dataroom, including investor inquiry drafting
Prepare consolidation f/s monthly & yearly
Conduct f/s monthly analysis, coordinate with accounting manager for reclass or adjustment required if any
Bank relation for adding new payment method or loan support
Support to solve any loss that arises from fraud or system failures that impact the financial perspective
Job Requirements:
Excellence Ms.Excel skill, capabilities to understand, build or modify excel's working paper
Good analytical & presentation skill, capabilities to compose presentation (ppt) with analysis and storyline
Ability to blend and convince cross division/department to ensure the company will hit the target
Willing to take extra mile, willing to involve and gain an understanding of business side and how to support from financial perspective