
Finance Manager
1 day ago
About PT dHost Telekomunikasi Nusantara
dHost is a Neutral Hosting Service Provider offering telecoms infrastructure and value-added technology solutions; providing connectivity infrastructure for large footprints of venues, driving innovative technology implementation for various vertical markets and industry throughout the Asia Pacific region.
As a trusted partner to businesses, we help assess the infrastructure and technology needs of our clients, using our expertise and knowledge to propose solutions that meet their needs. As technology evolves at a rapid pace, we help our clients take on technology risk and upfront investment costs, providing them with dependable, high-availability infrastructure and networks at affordable subscription costs.
dHost is currently headquartered in Singapore with a strong presence in Indonesia and an expanding reach in Philippines and Taiwan. The company was established in 2017 and is helmed by experienced team members with an average of more than 20 years of experience in the telecommunications industry.
Summary of Position
Role Overview
The Regional Financial & Admin Manager provides 100% compliant solutions across all countries in which the Group has a presence, whilst at the same time ensuring a framework of excellent financial control, financial reporting and cash flow management that facilitates the business to meet its commercial growth targets. You will be supporting the Regional Finance Director.
You will also be providing administrative support including but not limited to government grants administration; ensuring timely submission of claims and subsequent reimbursements from government authorities; HR and personnel administration; and other duties to be assigned by the management.
**Responsibilities**:
Effective management and mentoring of the regional finance team
Identify and manage underperformance to seek continuous improvement
Financial Control & Risk Management
Responsible for ensuring excellent financial control across all entities in the region
Ensure corporate tax compliance across all territories (corporate tax, sales taxes, withholding taxes)
Statutory compliance for all financial and auditing requirements
Overview of regional compliance, corporate governance, internal control and risk management policies, procedures and reporting matters
Financial Reporting
Responsible for allaspects of financial reporting including P&L reporting to Group, Balance Sheet reporting, Statutory reporting etc.
All aspects of other reporting to Group and other stakeholders (investment bankers, investors etc.)
Working Capital Management
Working capital (debtors and creditors) management is critical to the Group’s regional business
Cash management - management of local banking facilities and interaction with Group
Budgeting and Forecasting
Responsibility for annual budgets and monthly rolling forecasts
Business & Admin Support
Provide full support for allnew country incorporations and growth of businesses in new areas
To be the main point of contact for all Group entities in interaction with internal and external stakeholders for all aspects of financial management
HR and personnel administration
Ensure smooth running of the Singapore office on a day-to-daybasis (e.g. process payments for utilities, rental and other office invoices including transport, travel, outsourced services, reimbursements, membership fees etc.)
**Responsibilities**:
**Responsibilities**:
Effective management and mentoring of the regional finance team
Identify and manage underperformance to seek continuous improvement
Financial Control & Risk Management
Responsible for ensuring excellent financial control across all entities in the region
Ensure corporate tax compliance across all territories (corporate tax, sales taxes, withholding taxes)
Statutory compliance for all financial and auditing requirements
Overview of regional compliance, corporate governance, internal control and risk management policies, procedures and reporting matters
Financial Reporting
Responsible for all aspects of financial reporting including P&L reporting to Group, Balance Sheet reporting, Statutory reporting etc.
All aspects of other reporting to Group and other stakeholders (investment bankers, investors etc.)
Working Capital Management
Working capital (debtors and creditors) management is critical to the Group’s regional business
Cash management - management of local banking facilities and interaction with Group
Budgeting and Forecasting
Responsibility for annual budgets and monthly rolling forecasts
Business & Admin Support
Provide full support for all new country incorporations and growth of businesses in new areas
To be the main point of contact for all Group entities in interaction with internal and external stakeholders for all aspects of financial management
HR and personnel administration
Ensure smooth running of the Singapore office on a day-to-day basis (e.g. process payments for uti
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