Job Description
- Record transactions across multiple sources post‑implementation.
- Support intangible asset accounting including master data updates, categorization, amortization, and impairment reviews.
- Allocate project costs and prepare variance analysis reports for settlement.
- Manage component‑level sales and costs with revenue and expense accruals for artist projects.
- Prepare inventory journal entries based on monthly MES reports.
- Generate product cost reports including finished goods and obsolescence analysis.
- Complete reconciliations accurately and on time.
- Execute period‑end close activities within deadlines.
- Support audit inquiries for both internal and external reviews.
- Deliver error‑free outputs with strong attention to detail.
Job Requirements
- Bachelor's degree in finance, accounting, business, or a related discipline.
- ACCA, CPA, CIMA, or equivalent professional qualifications preferred but not mandatory.
- Min 2 years of experience in insurance, banking, or a multinational financial environment, especially in RTR, GL, or Financial Planning & Analysis (FP&A) functions.
- Exposure to Power BI, Power Automate, RPA, SQL, Python, or GenAI applications for reporting and process optimization.
- Familiar with IFRS 17 or IFRS 9 standards would be a plus.



