Job Description:
Funding Strategies: Managing funding activities, including securing financing from banks, investors, or other external sources to support leasing operations.
Ensuring optimal allocation and utilization of funds to maximize returns and minimize financial risks.
Monitoring cash flow and liquidity to ensure the company can meet its financial obligations and funding requirements.
Supervising the preparation and accuracy of financial statements, including income statements, balance sheets, and cash flow statements.
Ensuring compliance with accounting standards and regulatory requirements specific to leasing and multifinance operations.
Conducting periodic reconciliations of accounts to identify and correct discrepancies.
Managing asset accounting for leased items, including depreciation and residual value calculations.
Overseeing the accurate and timely filing of all tax returns, such as VAT, corporate income tax, and other taxes relevant to leasing activities.
Ensuring compliance with tax laws and regulations, particularly those impacting leasing companies.
Identifying tax-saving opportunities and implementing strategies to optimize tax liabilities.
Managing audits and liaising with tax authorities to resolve any issues or inquiries.
Working on other task possibly related to funding or asset management
Requirements:
Bachelor's degree in accounting, finance and related field
+3 years experience in finance, accounting & tax
Have experience in handling funding or asset management will be preferable
Possesses Brevet A & B certificate or other supporting certificates & courses
Advanced in English is mandatory
Experienced working in a Japanese company will be a plus point
Extensive skills in Microsoft office and accounting system