Manage financial data to develop automation of financial analysis and performance measurement reports for business improvement management.
Design, build up, maintain databases and compile, interpret, and analyse mass data.
Develop financial and analytical models for facilitating management decision and provide analytical support for other teams.
Monitor the financial figures of business process projects among operational teams to enhance the operational efficiency and effectiveness to cope with business requirement in the competitive markets.
Provide support on quarterly financial consolidation reporting package and statutory audit to ensure compliance with submission deadline and all regulations.
Perform and/or review consolidations and consolidated financial statements and research on technical and application issues.
Assist preparing tax computation and schedules for tax compliance.
Perform the risk-based operational and financial audit for the businesses across the Group.
Support the planning and monitoring of engagement as well as identifying potential audit issues.
Requirements:
Degree holder in accounting, finance or related disciplines.
At least 7 years relevant working experience with hands-on skills of Power Query and Power Pivot to manage large database and develop data and profitability analysis under SAP system environment.
Proven experience in financial consolidation reporting and latest modelling techniques and analytical tools is highly preferable.
Strong analytical skills to interrogate data, identify trends, and highlight areas for improvement to enhance business performance.
Good project management of driving development, problem solving, and statistical or financial model building skills.