To manage the annual budgeting, forecasting, financial planning, and feasibility study processes to support business growth and strategic decision making.
To monitor short-term and medium-term cash flow forecasting, collections, and payment processes, ensuring adequate liquidity and effective working capital management across the Group.
Oversee bank accounts across all subsidiaries, including opening, closing, and ongoing maintenance.
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Reporting: To assist with weekly/monthly billing TAT, CN analysis, WIP reporting and adhoc report preparation.
Identify process and system enhancement to improve billing quality and participate in lean activities to drive standardization and efficiency.
An enthusiastic accounting/finance student with a sharp eye for detail, strong analytical mindset, and eagerness to learn and contribute in a dynamic finance environment.
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Conduct accounting research, prepare technical accounting papers and memos, and provide guidance on the application of accounting standards across the Group.
Support impairment reviews and assessments for goodwill, intangible assets, and property, plant & equipment (PPE).
Partner with the budgeting and forecasting team, review project cash flow models, and provide financial analysis to support business planning and decision-making.
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Prepare, review and analyze the month-end Balance Sheet and Profit and Loss Accounts for financial reporting purposes.
Responsible for cash-flow management and reporting including but not limit to prepare and monitor the weekly cash flow position, timely notification to Corporate Treasury for all
Manage and oversea the accounting process prepared by the accounting team
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At Keypath, we put our people first. We're committed to creating a flexible, inclusive and supportive workplace where you can do your best work while continuing to grow your career.
Global EdTech Leader – Join one of the world's leading education technology organisations.
Transform the World – Help professionals around the globe gain the skills they need to succeed.
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• Own the Southeast Asia regional budgeting, forecasting (rolling forecast / latest estimate) and long-range planning process, consolidating inputs from each in-country local accountant.
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Maintain Financial Governance & Compliance – Help ensure commercial transactions and documentation comply with internal controls, company policies, and audit requirements.
Prepare & Maintain Documentation – Organise, track, and maintain accurate records to support operational efficiency, audit readiness, and regulatory compliance.
Collaborate Across Functions – Work closely with Finance, Sales, and other stakeholders to support day-to-day commercial controlling activities and resolve operational queries.
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