Executive, Finance
2 weeks ago
Key Responsibilities:
- Maintain a full set of accounts, ensuring accuracy and compliance with standards.
- Prepare monthly reporting packages and variance analyses for Senior Management and HQ.
- Coordinate and plan monthly meetings with business units.
- Prepare and submit GTO reports to stakeholders.
- Prepare monthly journals related to ticketing transactions (sales, cost of sales, revenue, expiries, refunds, e-wallets, etc.).
- Review monthly journals to support timely month-end closing.
- Assist in annual budgeting and forecasting exercises.
- Liaise with auditors, tax agents, and handle tax-related queries.
- Manage banking relationships and liaise with payment gateway partners.
- Process administrative and POS-related documents, including procurement for new payment gateways.
- Drive improvements in accounting processes and procedures.
- Support ad-hoc reporting requirements and projects as assigned.
Requirements:
- Degree in Accounting, Finance, or related discipline, with at least 3 years of relevant experience in finance or accounting, preferably with hands-on experience in corporate tax.
- CPA or CA qualification is an advantage.
- Extensive hands-on experience in finance operations, cash handling, and accounting activities.
- Proven track record as an effective business partner to stakeholders, including senior management.
- Experience in the hospitality or tourism industry is an advantage.
- A collaborative team player with strong interpersonal and communication skills.
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