Senior Finance Manager at Thakral One
Hong Kong, Hong Kong Island, Hong Kong S.A.R. -
Full Time


Start Date

Immediate

Expiry Date

04 Jun, 26

Salary

0.0

Posted On

06 Mar, 26

Experience

5 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Financial Consolidations, Financial Statements, Auditing, Financial Reporting, Budgeting, Forecasting, Cash Flow Planning, Liquidity Management, IFRS, MS Office, Problem-Solving, Internal Controls

Industry

IT Services and IT Consulting

Description
Responsibilities Review monthly, quarterly and year-end financial consolidations and prepare financial statements, reports & accounting schedules; Co-ordinate with external auditors for interim and annual audits; Preparation of monthly, quarterly, interim and annual results of the Group, including announcements; Prepare financial forecasts and budgets, including Group consolidations thereof; Prepare operational analyses and reports; Liaising with bankers, auditors and group companies; Oversee cash flow planning and liquidity management; Ensure compliance with stock exchange listing rules; Oversee reporting and compliance with related party/interested person transactions rules; Perform other adhoc jobs assigned by the company; Requirement 8 years’ experience in financial consolidations, experience in listed companies, IPO, MNC or sizable audit firms preferable Member of HKICPA/ACCA or equivalent Solid technical knowledge of complex manual consolidations for multiple subsidiaries and IFRS accounting standards Responsible, detail-minded, independent, able to work under pressure and meet tight timeliness with strong problem-solving skills Good understanding of month end processes and internal controls Good command of spoken and written English and Chinese is required. Proficient in MS Office
Responsibilities
The role involves reviewing and preparing monthly, quarterly, and year-end financial consolidations, statements, and reports, while coordinating with external auditors. Key duties also include preparing financial forecasts, budgets, operational analyses, and overseeing cash flow planning and compliance.
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