Financial Planning Analysis: Develop and manage long-term, medium-term, and short-term financial plans, forecast financial trends, and implement measures to improve the company's financial performance.
Investment Relations: Oversee and execute activities related to mergers and acquisitions, assess investment opportunities, negotiate, and support strategic transactions.
Cash Flow Management: Ensure the company's cash flow remains stable, manage capital resources, and optimize financial structures to ensure liquidity and profitability.
Business Performance Analysis: Evaluate business performance through financial metrics and management reports, providing strategic recommendations to improve profitability and operational efficiency.
Financial Reporting: Supervise the financial reporting process, ensuring accuracy and compliance with current accounting standards, tax regulations, and legal requirements.
Job Requirement
Bachelor’s degree in finance, auditing, or a related field, Immediate start required.
At least 5 years of experience in finance or auditing; preference for candidates with Big4 audit experience and knowledge in valuation/FPA/Audit.
Strong project management skills with the ability to work in high-pressure environments.
Extensive knowledge of financial instruments, M&A activities, and current financial regulations.
Excellent leadership and communication skills, with the ability to negotiate and solve problems effectively.