As a finance manager, you will oversee the financial operations of the organisation, ensuring effective cash management and financial analysis. Reporting to the Financial Director in Hong Kong, you will utilise your core skills in financial management and planning to guide strategic decisions. Your expertise in financial accounting and leadership will be essential in managing a team and maintaining compliance with accounting standards.
Key Responsibilities
:
Account Management
: Oversee the company's accounts, manage cash flow efficiently, and monitor balances across all accounts to ensure liquidity aligns with operational and investment requirements.
Transaction Processing
: Execute transfers, payments, and other necessary transactions accurately and promptly, ensuring that all transfers adhere to company policies and regulatory requirements.
Bookkeeping
: Maintain accurate and detailed bookkeeping records, documenting all transactions, and ensuring the general ledger is up-to-date.
Cash Flow Forecasting
: Prepare regular cash flow forecasts to support investment and operational planning. Collaborate with finance and investment teams to ensure the availability of funds for ongoing and upcoming projects.
Financial Reporting
: Generate and analyse monthly, quarterly, and annual financial reports, including income statements, cash flow statements, and other financial summaries as required.
Compliance and Internal Controls
: Ensure all treasury activities comply with relevant regulations and internal policies. Develop and maintain internal controls and procedures to safeguard company assets and ensure financial accuracy.
Risk Management
: Identify and mitigate financial risks by monitoring accounts and establishing protocols to prevent fraud and financial mismanagement.
Audit and Tax Support
: Assist in audit preparations and provide necessary information to ensure compliance with tax filings and other regulatory requirements.
Qualifications
:
Master's degree in finance, accounting, or a related field; professional certifications (e.g., CPA, CFA, CTP) are a plus.
2+ years of experience in treasury, finance, or accounting, preferably within an asset management firm or family office.
Strong knowledge of cash management, treasury, and financial analysis.
Proficiency in financial software (e.g., QuickBooks, SAP, or similar) and Microsoft Office.
Exceptional analytical, organisational, and problem-solving skills.
High degree of accuracy, attention to detail, and reliability.
Strong interpersonal skills, with the ability to collaborate effectively across teams.
Mandarin speaking is preferred.
Job Types: Full-time, Permanent
Pay: 45,000.00-60,000.00 per year
Additional pay:
Bonus scheme
Benefits:
Casual dress
Company pension
Gym membership
On-site gym
Private medical insurance
Referral programme
Schedule:
Monday to Friday
Work Location: In person
Application deadline: 30/06/2025
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