Job description
About the Company:
Our client a leading high-growth Tech firm with regional presence and footprints in Southeast Asia, currently at Series-B funding stage. Potential candidate is expected to provide innovative ideas for financial and business growth and responsible for sound financial reporting, governance and building a roadmap to IPO.
Job Description:
- Maintain daily end to end finance function of the business activities across the Group
- Ensure mandatory financial regulations and controls are in place at all times
- Provide and coordinate all secretarial and taxation matters across the Group
- Manage and liaise with external banks, auditors, and other government statutory bodies
- Prepare management and group management reports on a monthly basis
- Handles all the bank accounts’ documentation and bank queries
- Internal controls, Cash flow management and projections
- Manage the budget process and provide timely report on performance against budget
- Provide support and advises traders, operations, treasury and risk management teams
Requirements
- Bachelor’s degree in any related disciplines
- Ideally more than 15 years of finance discipline with at least 10 years in a Managerial post
- More than 5 years in Tech sectors, ideally with IPO/Start-up settings