Job Description
About the team:
At Aspire Finance plays a strategic role in driving our business forward. Our Finance team consists of a wide range of crucial functions across 4 verticals: (i) Traditional Finance with Accounting Tax Reporting (ii) Treasury which is a core function for a Fintech (iii) Data including Business Intelligence Data Analytics and Data Engineering and (iv) Strategy & Planning which covers strategic road map long term planning fundraising and FP&A. Our Finance team engages in frequent strategic data analysis research and modeling to provide the best financial insights for critical business decisions helping Aspire navigate the competitive landscape and capitalize on emerging opportunities. The team also plays a key part as the first user of our Aspire software pioneer in Finance transformation reengineering our internal process to stay agile while maintaining the internal control in a hyper fast growing environment.
About the role:
At Aspire we pride ourselves on building an amazing team. We require a highly skilled and experienced Head of Financial Controlling to join our very talented lineup as we continue to build up this function.
Reporting to the CFO the Head of Financial Controlling will be responsible for Aspire Groupβs Accounting Finance Operations and Financial Systems. Youβll partner with the leadership team to provide insights information and guidance to make strategic and operational decisions and ensure the company is financially healthy and consistently meeting our reporting obligations.
What Will You Be Doing :
Reporting and analysis
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Oversee all accounts ledgers and reporting systems ensuring compliance with local standards Group policies in IFRS and regulatory requirements
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Oversee Group month end close process and enable accurate and efficient financial results and reporting within tight deadlines.
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Continually improve accounting procedures processes and systems to ensure standardized close process and efficient operations across the Group
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Provide accounting advisory to align business objectives support new market entry and investments group restructuring valuation and key accounting considerations
Cost monitoring and management
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Oversee Group procurement process
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Monitor the costs of Group clusters departments and teams
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Lead costs optimisation initiatives
Customer Money Reconciliation
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Oversee the reconciliation of customer money ensuring accuracy and compliance with regulatory requirements
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Implement and maintain robust processes for the reconciliation of customer accounts together with Ledger Operation and Product development teams
Financial system
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Spearhead complex financial system implementations
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Work closely with product development teams to establish efficient information flows for new products and ensure that financial controlling processes are integrated seamlessly into new product launches.
Internal control
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Build and evolve upon our existing internal controls financial systems and processes to ensure accuracy of financial reporting integrity of corporate data finance governance compliance and the safeguarding of assets
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Work closely with the Tax team to review Group tax filings and returns (e.g. withholding tax VAT annual tax returns)
Management of the auditors
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Manage the relationship with auditors direct and participate in the preparation of all the workpapers for the audit on a timely basis including all memos for any relevant areas
Collaboration with cross functional team
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Build and grow cross-functional relationships to collaboratively work together to resolve month end issues build new financial process relating to launch of new products and solve process efficiencies
Management of regional financial reporting team
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Lead and manage a regional team responsible for financial controlling activities across the APAC region on technical aspects (e.g. accounting updates ESG) and the quality of financial reporting and tax.
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Provide guidance support and mentorship to team members fostering a culture of excellence and continuous improvement.
We would love to get to know you if you have the following:
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Strong academic pedigree including a CA/CPA qualification or equivalent
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Minimum of 12 years of experience in financial controlling preferably in the fintech industry
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Strong proficiency in all aspects of corporate accounting and all pertinent GAAP rules and regulations
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Strong understanding of payment service regulations and compliance requirements in the APAC region.
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Excellent leadership and team management skills with a proven ability to motivate and develop team members.
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Advanced analytical and problem-solving abilities with a keen attention to detail.
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Effective communication skills with the ability to collaborate cross-functionally and influence stakeholders at all levels.
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Proven track record of implementing process improvements and controls financial system implementation and driving operational excellence.
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Date Posted
06/11/2024
Views
14
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