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•Manage all aspects of finance and accounting and report to Head Office in Europe and Regional office in Singapore;
•Find negativity / failure / weakness/ waste in entire business operations and provide consultation to improve effectivity of business operations;
•Develop, champion and implement procedures, policies and internal controls to ensure efficient operational processes which support the delivery of business objectives;
•Ensure all internal and external reporting and compliance requirements are met;
•Ensure controlling and accounting be relevant to international and national regulatory laws;
•Provide leadership and guidance not only to his/her finance and accounting team, but also to management team;
•Drive and administer the planning, budgeting and forecasting activities of the company to enable effective performance management and timely decision making;
•Manage treasury operations – cash and cash flows, bank relationships and debt funding;
•Oversee the preparation of all financial management and statutory reports for local and Group purposes;
•Oversee the preparation and management of the capital and operating planning requirements to ensure effective treasury and financial management.