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Provide leadership to finance and accounting areas of the organization.
Provide useful financial insights to help make better decisions about formulating and executing strategy, and provide guidance and analysis to executive and operational management to improve results.
Prepare and analyze accurate monthly financial and management reports, including income statement, balance sheet, budget and variance, projections and forecast, and cash flow.
Ensure that all financial transactions are processed accurately, in a timely manner, and in accordance with generally accepted accounting principles.
Develop, implement, and maintain processes and controls that are current best practices related to transaction processing.
Perform month-end closing procedures, including overhead allocations, account reconciliations, and updating schedules.
Assist in issuing timely, accurate, and complete financial statements for all levels, including Board of Directors, executive, and management.
Assist in coordinating the preparation of the draft audited financial statements and all tax returns.
Coordinate the preparation of financial information in the corporate annual report.
Assist in production of cash flow reports, annual budget, and forecasts.
Calculate variances from the budget and report significant issues to management.
Bachelor's degree in accounting or finance. CPA is preferred but not required.
Minimum of 8 years of finance and accounting experience, including finance, accounting, audit, and analysis (including gathering, evaluating, presenting, and reporting financial information to management and external stakeholders).
Solid experience in coordinating audit activities and managing reporting, budget development and analysis, accounts payable and receivable, general ledger, payroll, and accounting for investments.
Please send your cv in MSWord to Phoebe Ling at email@example.com
Internal Number: 6055327
About Options Group (Hong Kong)
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