Our client is a leading international school in Hong Kong offering multilingual education and a rigorous academic curriculum to students from diverse cultural backgrounds.
Responsibilities Financial Management Supervise all accounting activities for designated entities, including general ledger operations, bank reconciliations, and preparation of financial statements such as profit and loss, balance sheets, and other reports.
Support the Finance Office in producing financial and management reports, budgets, forecasts, and business performance analyses.
Oversee accounts receivable processes and manage donation tracking and receipt issuance.
Ensure adherence to internal controls and financial policies.
Assist in the preparation of statutory audits and legal financial disclosures.
Handle ad hoc assignments as directed by the Director of Finance and Senior Finance Manager.
Treasury Carry out treasury-related tasks including cash flow management, fund allocation, and banking operations.
Provide insights and reports on liquidity planning for both short- and long-term financial strategies.
Project cash flow needs to ensure sufficient resources for operational, capital, and investment activities.
Investment Reporting & Administration Prepare regular and ad hoc investment portfolio reports and conduct financial analysis of current holdings and new opportunities.
Monitor capital expenditures and cash flow to meet financial objectives.
Coordinate with internal teams and external partners to assess investment risks and performance, and manage approved investment transactions.
Record journal entries for investment-related transactions and valuation changes.
Other Duties Provide administrative support for Board of Directors' secretarial tasks.
Lead and contribute to additional business initiatives as assigned by senior finance leadership.
Requirements Bachelor's degree or above in Finance, Accounting, or a related field.
CPA or CFA qualification is preferred.
Detail-oriented and highly organized.
Minimum of 5 years' relevant experience, with at least 1 year in a supervisory role.
Exposure to treasury and investment functions is advantageous.
Strong analytical, communication, and problem-solving skills.
Fluent in English and Chinese, including Mandarin.
Familiarity with SAP B1 and other ERP systems is a plus.