Consolidation and review of Committee deck before it is sent to CRO for final review and concurrence. Close engagement with various stakeholders to ensure proper clarification of the deck accuracy and completeness.
Manage and monitor headcount/MRF movements within the Division to ensure it is within the approved headcounts.
To drive, coordinate and oversee Division level process enhancement projects to ensure productivity and efficiency
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Consolidation and review of Committee deck before it is sent to CRO for final review and concurrence. Close engagement with various stakeholders to ensure proper clarification of the deck accuracy and completeness.
Manage and monitor headcount/MRF movements within the Division to ensure it is within the approved headcounts.
To drive, coordinate and oversee Division level process enhancement projects to ensure productivity and efficiency
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To back up, assist with and perform Financial Reporting tasks as required.
Independently provide Financial Reporting transaction processing support and ensuring delivery quality in terms of accuracy, completeness and timeliness on daily basis.
Perform and analyse booking of accounting transactions, fixed asset transactions, master data maintenance and account reconciliation including account clearing.
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To maintain a strong data integrity within internal systems through validation and reconciliation between source data from TA/FMC, counterparts, and business service applications.
To provide high-quality service experience, answering enquiries and resolving problems with the TAs or FMCs.
Seek operational improvements where possible, to facilitate take-on of additional activities through automation of existing activities.
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Independently provide Financial Reporting transaction processing support and ensuring delivery quality in terms of accuracy, completeness and timeliness on daily basis.
Perform and analyse booking of accounting transactions, fixed asset transactions, master data maintenance and account reconciliation including account clearing.
Perform analytical review of profit and loss accounts and balance sheet, trend analysis and transaction posting checks.
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To back up, assist with and perform Financial Reporting tasks as required.
Independently provide Financial Reporting transaction processing support and ensuring delivery quality in terms of accuracy, completeness and timeliness on daily basis.
Perform and analyse booking of accounting transactions, fixed asset transactions, master data maintenance and account reconciliation including account clearing.
...
To back up, assist with and perform Financial Reporting tasks as required.
Independently provide Financial Reporting transaction processing support and ensuring delivery quality in terms of accuracy, completeness and timeliness on daily basis.
Perform and analyse booking of accounting transactions, fixed asset transactions, master data maintenance and account reconciliation including account clearing.
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