Reporting to the FP&A Manager, this role will be part of a vibrant team that leads and directs all cashflow and cash management activities of the Group. This includes maintaining and monitoring banking facilities, borrowings and collaborating with bank managers on the Group's financial activities. He / She will also ensure compliance with internal and external regulatory requirements, provide cash position updates and strategize payment plans.
The ideal candidate should be highly analytical, have a keen eye for detail, able to generate insights on cash flow data and advise management on cash management and payment strategies. If you have at least 3 years work experience with Big 4 audit firms, has some experience in manufacturing and strong in communication skills, we would like to speak to you.
Only shortlisted candidates will be contacted (within 10 working days).