In this role, you will be responsible for preparing and analyzing financial reports, managing cash flow, and ensuring tax compliance while maintaining the highest standards of confidentiality and professionalism.
- Minimum 2 years of relevant experience in finance, accounting, budgeting, or auditing.
- Advanced knowledge of taxation, compliance, and internal controls.
- Proficient in English (both written and spoken). Proficiency in Mandarin Chinese is a strong advantage.
- Advanced knowledge of Microsoft Excel (pivot tables, VLOOKUP, financial modeling).
- Strong understanding of financial statements, cash flow management, and cost control.
- High level of integrity, professionalism, and respect for data confidentiality.
- Candidates with relevant certifications, such as Brevet A/B (Taxation), CPA, CA, CMA, or certificates in Financial Modeling and Excel, are at a strong advantage.