Nicholas Ang

Assistant Vice President at ctbc
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Contact Information
us****@****om
(386) 825-5501
Location
Singapore, SG

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Experience

    • Singapore
    • Banking
    • 100 - 200 Employee
    • Assistant Vice President
      • Feb 2020 - Present

    • Singapore
    • Banking
    • 700 & Above Employee
    • AVP
      • Nov 2017 - Feb 2020

    • Hong Kong
    • Banking
    • 700 & Above Employee
    • Finance Manager
      • May 2013 - Nov 2017

      Preparation of monthly financial statements, management, head office reports and budget. Manage month end book close of accounts. Variance analysis of major movements in the profit and loss and balance sheet. Preparation of monthly financial statements, management, head office reports and budget. Manage month end book close of accounts. Variance analysis of major movements in the profit and loss and balance sheet.

    • Singapore
    • Banking
    • 700 & Above Employee
    • Associate
      • Jul 2011 - May 2013

      Preparation of month end and year end statutory accounts for regulatory purposes for the bank's Singapore operations and involved in the submission of reports for monthly, quarterly and annual MAS disclosure requirements. Variance analysis of significant movement in financial statement balances. Involved in adhoc projects such as system enhancements. Preparation of month end and year end statutory accounts for regulatory purposes for the bank's Singapore operations and involved in the submission of reports for monthly, quarterly and annual MAS disclosure requirements. Variance analysis of significant movement in financial statement balances. Involved in adhoc projects such as system enhancements.

    • United Kingdom
    • Financial Services
    • 700 & Above Employee
    • Financial Analyst
      • Sep 2010 - Feb 2012

      Involved in month-end and year-end closing of the Singapore books and preparation of reports for Head Office and statutory reporting requirements, including income tax and GST submissions. Variance analysis and commentary on significant movements in the account lines and month-end Head Office reports. Review and identify significant expenditures to forecast accruals required for month-end and year-end closing. Ensure financial integrity of the Singapore accounts and that all financial control requirements are met through, such as reconciliation of intercompany balances. Liaise with and provide technical guidance and assistance to external auditors to ensure timely delivery of the statutory accounts. Other duties include assisting with annual statutory audits and participation in various ad-hoc projects to improve reporting processes such as customization of SAP accounting software reports. Show less

    • Business Consulting and Services
    • 700 & Above Employee
    • Audit Senior
      • Sep 2007 - Mar 2011

      Providing audit services to clients mainly in the finance industry such as banks, fund companies, brokerages, etc. Duties include leading an audit engagement team to conduct financial and operational audits for statutory and head office reporting requirements. Scope of audit work covers net asset valuation of investment funds, investment valuations and impairment testing, bank loan and credit reviews, preparation and review of financial statements, tests of operational effectiveness of controls, Sarbanes Oxley controls testing, identifying of risk areas and recommendations for improvements. Other areas include ensuring compliance to the Monetary Authority of Singapore regulations such as the Banking Act, Securities and Futures Act, Financial Advisers’ Act, etc. Show less

    • Singapore
    • Banking
    • 700 & Above Employee
    • Senior Officer
      • Mar 2006 - Aug 2007

      Acquisition of new corporate accounts and cross-selling the full range of business banking products such as business term loans, trade finance facilities and cash management facilities. Acquisition of new corporate accounts and cross-selling the full range of business banking products such as business term loans, trade finance facilities and cash management facilities.

    • Singapore
    • Banking
    • 700 & Above Employee
    • Bank Executive
      • Mar 2001 - Apr 2006

      Corporate & Investment Banking Provide client-servicing and business management support to corporate customers, particularly in the operational and administrative aspects. Payment Operations Processing of remittances, telegraphic transfers, demand drafts, cashiers' orders from non-bank customers, internal departments, branches and bank staff. Custody Operations Provide client servicing in the area of corporate actions such as meetings, cash or stock dividend payments, etc. Show less

Education

  • Royal Melbourne Institute of Technology
    Bachelor, Accountancy
    2005 - 2007

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