Oversee accounts payable, accounts receivable, intercompany flows, cash management, and treasury operations for APAC entities
Support new entity setup, banking, statutory registrations, and finance infrastructure as HyperLight expands across APAC
Own HyperLight's global cost accounting function, including standard costing methodology, BOM and routing accuracy, inventory valuation, COGS, and variance analysis
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Prepare schedules to support balance sheet accounts and ensure that these are reconciled against general or nominal ledger balances immediately after month-end closing (i.e. fixed assets, prepayments, payroll reconciliation, accruals, duty transitory, GRIR reconciliation & etc). Back up all files as part of the disaster recovery plan.
Ensure preparation and distribution of required financial and accounting reports, including management information, in a timely manner. Ensure that all reporting deadlines are consistently met.
Organize and plans work schedules independently to meet service delivery level with minimum guidance and able to take appropriate actions to resolve issues independently without much supervision.
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Oversee accounts payable, accounts receivable, intercompany flows, cash management, and treasury operations for APAC entities.
Support new entity setup, banking, statutory registrations, and finance infrastructure as HyperLight expands across APAC.
Own HyperLight's global cost accounting function, including standard costing methodology, BOM and routing accuracy, inventory valuation, COGS, and variance analysis.
...
Filing: Maintain an organized, audit-ready digital and physical filing system for all financial records.
Office Supplies: Monitor, source, and restock office stationery, pantry items, and cleaning supplies within budget.
Office Upkeep: Oversee the cleanliness of the office by coordinating with cleaning staff/vendors, and manage routine facilities maintenance (e.g., air-con servicing).
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Filing: Maintain an organized, audit-ready digital and physical filing system for all financial records.
Office Supplies: Monitor, source, and restock office stationery, pantry items, and cleaning supplies within budget.
Office Upkeep: Oversee the cleanliness of the office by coordinating with cleaning staff/vendors, and manage routine facilities maintenance (e.g., air-con servicing).
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