Key Responsibilities:
- Lead the overall finance operations for the assigned client portfolio
- Oversee and ensure accuracy of MIS reporting financial reporting and statutory financial statements
- Manage statutory compliance including payroll processing and timely submission of EPF ETF Stamp Duty and APIT
- Provide strategic oversight and guidance on investment portfolio performance and reporting
- Review and approve monthly bank reconciliations financial schedules and supporting documentation
- Build and maintain strong relationships with clients banks auditors and regulatory bodies
- Drive process enhancements strengthen internal controls and ensure compliance with accounting standards
- Mentor and guide finance teams ensuring high-quality deliverables and capability development
Requirements:
- Fully or part qualified in CA / CIMA / ACCA / CMA (full qualification preferred)
- Strong technical knowledge in fund management and investments financial reporting and compliance
- Advanced proficiency in MS Office and accounting systems; exposure to Tally is advantageous
- Sound knowledge in Inland revenue Act and other Taxes and levies.
- Minimum 8 years of solid finance experience with proven leadership responsibilities
- Strong interpersonal stakeholder management and communication skills
- Detail-oriented deadline-driven and capable of overseeing multiple client portfolios
Required Experience:
Manager
Key Responsibilities:Lead the overall finance operations for the assigned client portfolioOversee and ensure accuracy of MIS reporting financial reporting and statutory financial statementsManage statutory compliance including payroll processing and timely submission of EPF ETF Stamp Duty and APITPr...
Key Responsibilities:
- Lead the overall finance operations for the assigned client portfolio
- Oversee and ensure accuracy of MIS reporting financial reporting and statutory financial statements
- Manage statutory compliance including payroll processing and timely submission of EPF ETF Stamp Duty and APIT
- Provide strategic oversight and guidance on investment portfolio performance and reporting
- Review and approve monthly bank reconciliations financial schedules and supporting documentation
- Build and maintain strong relationships with clients banks auditors and regulatory bodies
- Drive process enhancements strengthen internal controls and ensure compliance with accounting standards
- Mentor and guide finance teams ensuring high-quality deliverables and capability development
Requirements:
- Fully or part qualified in CA / CIMA / ACCA / CMA (full qualification preferred)
- Strong technical knowledge in fund management and investments financial reporting and compliance
- Advanced proficiency in MS Office and accounting systems; exposure to Tally is advantageous
- Sound knowledge in Inland revenue Act and other Taxes and levies.
- Minimum 8 years of solid finance experience with proven leadership responsibilities
- Strong interpersonal stakeholder management and communication skills
- Detail-oriented deadline-driven and capable of overseeing multiple client portfolios
Required Experience:
Manager
View more
View less