Support general ledger and period-end closing activities
Support timely compilation of financial statements, act as point of contact with internal and external stakeholders for annual audited financial statement
Support treasury activities, e.g. Liquidity / cash management, Hedging.
Coordinate with tax agent for corporate tax computation, tax return submission, tax payment and any other tax matters that arise
Support any other tax-related matters such as transfer price
Other tasks as assigned by Finance Manager.
Requirements
Bachelor's degree in Finance, Accounting, or related field
2+ years of experience in accounting, tax or related finance role
Experience in manufacturing or similar industry is a plus
Good excel skills and familiarity with SAP system
Analytical and detail-oriented with strong communication skills