Oversee and provide support to regional's cashflows management, funding process, credit facilities to ensure optimal liquidity to meet business obligations.
Preparation and updates of forecast & budget on monthly/ quarterly basis.
Oversee the general ledger process, ensuring proper recording, reconciliation, and analysis of financial transactions, to ensure any discrepancies or variations are investigated and corrected.
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Execution of internal controls in accordance with Haleon Internal Control Framework. Partner with Compliance Leads and Controllers to ensure controls operate effectively.
Support audit requirements by providing accurate documentation and evidence
Review of monthly Balance Sheet schedules & reconciliation and maintain strong balance sheet governance, including reconciliation quality, ageing discipline and issue remediation. Liaise with respective stakeholders of Balance Sheet Reconciliations, specifically open items.
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Liaise with external stakeholders, including accounting firms, tax agents, and banking partners across the region.
Support the implementation and enhancement of the Group’s ERP system across regional operations.
Collaborate with the Regional Finance Head to identify and resolve issues related to accounting, operations, and banking, while providing timely updates to management.
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As Finance Manager, you will play a pivotal role in shaping the financial health of the organisation. Your day-to-day responsibilities will involve overseeing fund management activities, developing forward-looking budgets, analysing performance metrics, and ensuring compliance with local regulations. You will collaborate closely with senior leaders on strategic projects-ranging from pricing reviews to capital allocation-while also managing external relationships with banks and other stakeholders. Your ability to implement effective internal controls will help foster a culture of accountability across the business. By leveraging your expertise in treasury functions and financial planning, you will contribute directly to the company's ongoing success in delivering high-quality packaging, manufacturing and production solutions throughout the Asia-Pacific region.
* Oversee fund management and cash flow planning to ensure sufficient liquidity for daily operations as well as future investments, maintaining a healthy balance between risk and opportunity. * Develop comprehensive financial forecasts, budgets, and capital expenditure plans that align with organisational objectives and support sustainable growth. * Monitor and analyse financial performance by preparing detailed reports and offering actionable insights to senior management for informed decision-making. * Ensure efficient allocation of capital resources across various business areas to maximise return on investment while supporting innovation and expansion initiatives. * Manage relationships with banking partners, negotiate credit facilities, and oversee funding arrangements to secure favourable terms for the company. * Supervise accounting processes to guarantee accuracy in financial reporting while ensuring compliance with all statutory requirements and regulatory standards. * Support management in making strategic decisions related to pricing strategies, cost optimisation efforts, and profitability analysis by providing clear financial guidance. * Implement robust internal controls throughout the organisation to maintain financial discipline and safeguard assets against potential risks or inefficiencies. * (Advantage) Provide valuable input on commercial and legal matters such as contract negotiations, trade terms, and risk mitigation strategies when required.
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Lead statutory audits and ensure compliance with corporate tax, SST, RPGT, transfer pricing, and e-Invoicing requirements—delivering timely and accurate submissions.
Conduct feasibility studies for new investments, review internal processes, and continuously enhance internal controls to mitigate financial and operational risks.
Manage and coach team members to build a strong leadership pipeline, while working closely with matrix teams and stakeholders to ensure smooth execution of financial operations.
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Lead negotiations and transaction execution for acquisitions, disposals, commercial agreements, strategic alliances, and investment structures.
Develop investment proposals, financial models, valuation reports, Board Papers, Investment Committee Papers, and business cases.
Lead corporate finance initiatives including capital structure optimisation, fundraising, refinancing, debt restructuring, project financing, and treasury-related strategic initiatives.
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Ensure information received from the local business units complies with Group standards for both financial and management reporting.
Prepare analytical review and other financial reporting deliverables for IFRS, EV, HKRBC, LCSM, HKFRS, Bermuda and management reporting.
Support Group Office and local business units on relevant Group financial reporting and analysis matters by providing timely and satisfactory response on all queries to enable business decisions.
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Lead and drive internal controls and compliance across business and stakeholders
Develop and coach the finance and administrative team, developing them to partner and support business from a strategic perspective
Actively participate, evaluate and analyse investments or special projects and strategic assignments together with the management to support growth opportunities
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