Assistant Tax & Treasury Manager
AirSwift
Tax
Manage and handle tax matters including corporate tax, GST & withholding tax reporting for Asia
Ensure all quarterly and yearly tax provision comply with Group and Statutory requirements
Support Finance team on monthly close process related to tax matters
Prepare and coordinate yearly statutory tax computation with tax agent
Prepare GST returns
Answer and manage all tax related queries by IRAS with tax agent
Manage transfer pricing, review and assess price of related party transactions and withholding tax matters
Ensure accounting documentation relating to tax are in place
Identify and prevent potential tax risks
Treasury
Manage treasury operations with responsibility for cash operations, all banking activities and hedging for Asia
Preparation of cashflow forecast and performing liquidity planning
Maintain all banking relationships. Coordinate and liaise with bank on company’s banking facilities including banker guarantees
Develop cash management strategies to maximize efficiencies, improve processes, safeguard assets and minimize costs
Build and ensure compliance with internal controls, policies and procedures in supervision of cash management activities
Responsible for bank account management including internet banking platforms
Manage intercompany loan within the group (when applicable)
Support the accounting team monthly close process related to cash, interest and related accounts and reporting to Global
Support any ad-hoc projects as needed
Requirement:
Bachelor’s Degree in Accounting and related discipline.
Preferably 3-5 years working experience in tax and treasury role
Proficient in Microsoft Office Applications
Experience in Oracle is advantageous
Excellent written and communication skills
Ability to interact and liaise with various stakeholders.
Ability to work independently and as part of a team
Proactive and positive attitude
Ability to prioritize and multitask
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