- Manage a team of 4 staff.
- Monthly and year-end closing.
- Manage the External Audit process.
- Liaise with the Tax Office.
- Record Transactions.
- Fixed assets management.
- Bi-weekly cash flow planning and submission.
- Provision of monthly cash flow results report.
- Oversee payment from Japanese accounting standards, plus calculation and confirmation of correction to IFRS.
- Ad hoc analysis/simulation.
- Minimum of 5 years' experience.
- Knowledge of IFRS and JGAAP.
- Business Level English and Japanese, written and spoken.
- Knowledge of SAP is an advantage.