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Career

UOB LIVE, we're more than just a company; we're a community of passionate and talented individuals who come together to make a difference. We welcome you to explore the opportunities that await you here.

  • Degree in Business/Commerce (or related field)
  • Fluent in English – Spoken, Written & Reading
  • Minimum of 3-5 years’ experience in similar role
  • Working knowledge of business software such as ERP, SAP, etc.
  • Microsoft Office working knowledge with advanced Excel
  • VAT knowledge
  • Business Plan Writing
  • Ability to work under pressure and towards deadlines.
  • Strong eye for detail
  • Adaptable and flexible
  • Well organized and ability to manage multiple tasks at a time.
  • Ability to facilitate presentations to all stakeholders.
  • Flexible with working hours (evenings, weekends, public holidays)
  • Well-presented and well groomed
  • Excellent communication skills
  • Committed to diversity and inclusion.
  • Able to accept direction and execute tasks.
  • Decisive and sound problem solver
  • Committed to safe and ethical work practices.
  • Able to work as a team.
  • Prepare Cash Flow Forecast Report, Cash Positions, Cash Management
  • Responsibility for the overall routine financial activities.
  • Perform daily tasks relating to corporate finance. 
  • Prepare the yearly forecasted budget in coordination with the operations team and monitor the budget every month.
  • Managing loan agreements including preparing information and supporting documents for loan disbursement and loan repayment.
  • Managing financial risk i.e., foreign and interest rates.
  • Participating in the preparation of the annual budget and controlling the use of the construction budget and operating budget.
  • Preparing estimated monthly cash flow statements and cash investment plans while ensuring that cash flow is planned following loan agreements with sufficient liquidity and maximized returns.
  • Examining invoices to be sent to the company’s customers to ensure the correctness and recording of all types of financial transactions into the ERP system.
  • Managing processes for financial forecasting, budgets, and reporting to the Finance Manager and CFO.
  • Work collaboratively with other teams to achieve shared goals.
  • Prepare Cash Flow Forecast Report, Cash Positions, Cash Management
  • Responsibility for the overall routine financial activities.
  • Perform daily tasks relating to corporate finance.
  • Prepare the yearly forecasted budget in coordination with the operations team and monitor the budget every month.
  • Managing loan agreements including preparing information and supporting documents for loan disbursement and loan repayment.
  • Managing financial risk i.e., foreign and interest rates.
  • Participating in the preparation of the annual budget and controlling the use of the construction budget and operating budget.
  • Preparing estimated monthly cash flow statements and cash investment plans while ensuring that cash flow is planned following loan agreements with sufficient liquidity and maximized returns.
  • Examining invoices to be sent to the company’s customers to ensure the correctness and recording of all types of financial transactions into the ERP system.
  • Managing processes for financial forecasting, budgets, and reporting to the Finance Manager and CFO.
  • Work collaboratively with other teams to achieve shared goals.
  • Perform other job-related functions and special projects as assigned.