Responsibilities:
- Assist in managing financial resources effectively and efficiently, overseeing end-to-end finance operations to ensure accurate financial records
- Monitor and analyse the Group’s cash position, liquidity and working capital requirements
- Support the treasury team in managing the Group’s short-term investments
- Assist in the execution of foreign exchange transactions and hedging activities
- Assist in preparing monthly cashflow statements and other reports related to the Group’s treasury activities
- Handle the books and records of the shared service entities and the Group’s consolidated process
- Handle month-end closing independently
- Compile financial reporting packages and month-end/year-end schedules for review
- Contribute to new system implementation or enhancements
- Participate in formulating policies and procedures
Requirements:
- Degree in Accounting or any related discipline
- A minimum of 3 years of relevant experience, preferably in F&B industry
- Good knowledge of accounting, financial reporting and treasury function
- Good interpersonal and communication skills
- Ability to work under pressure and to meet deadlines
- Good command of English and Chinese
- Proficient in Microsoft Office Suite (Word, Excel, Powerpoint) and Chinese Word Processing
We offer 5-day work week, on-the-job development program and rewarding career opportunities for ambitious individuals who are looking for challenges.
(All personal data collected will be used for recruitment purpose only.)