YH Eng

Finance Manager at Altonomy
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Contact Information
us****@****om
(386) 825-5501
Location
Singapore, SG
Languages
  • English Professional working proficiency
  • Mandarin Professional working proficiency

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Credentials

  • SAP Certified Application Associate - SAP S/4HANA for Financial Accounting Associates (SAP S/4HANA 1909)
    SAP
    Feb, 2022
    - Oct, 2024

Experience

    • Singapore
    • Financial Services
    • 1 - 100 Employee
    • Finance Manager
      • Apr 2022 - Present

      - Provide accurate, timely, and relevant recording, reporting and analysis of financial information. - Prepare and contribute to statutory audits and tax filings for the company as required. - Liaise with company secretary for the company filings, notices and tax lodgements. - Support annual audit and prepare the information required, ensure compliance with financial accounting reporting requirements. - Prepare the computation of Net Working Capital Adjustment in accordance with the Share Purchase Agreement in respect of the company. Show less

    • United Kingdom
    • Financial Services
    • 700 & Above Employee
    • Finance Manager
      • Mar 2016 - Aug 2021

      1) Overall responsible of financial accounting and reporting functions of few countries Indonesia, Malaysia, Hong Kong and China. 2) Lead a team of accountant, finance manager and Head of Finance to ensure monthly closing is completed timely and ensure financial reporting integrity in a complete, accurate and timely manner. This includes performing analytical review for monthly close, quarterly board pack reporting and managing various Group reporting package for consolidated Hyperion reporting. 3) Manage statutory audits, indirect tax and other governmental reporting (eg. Surveys and asset management license renewal) to ensure timely, accurate and clean pass reporting 4) Oversight on country-specific regulatory returns, eg. Securities Commission (Malaysia), MAS, SFC (Hong Kong) and OJK (Indonesia) surveys and queries etc. 5) Maintains the integrity of Transfer Pricing policies surrounding regional/local intercompany allocations by ensuring accounting data integrity and compliance in legal entity books. 6) Drive automation and simplification in process, in order to continuously improve end to end processes, and at the same time maintaining strong corporate governance; i.e. participating in Group initiatives of migrating to new Coda accounting software version 13 and Oracle accounting system. Show less

    • Finance Manager
      • Feb 2015 - Mar 2016

      1) Maintain the accounting records and preparation of monthly management and consolidated accounts for the company. 2) Provide and interpret financial information and highlight key issues and recommend improvements. 3) Plan and co-ordinate annual statutory audit, be main liaison officer with auditor and prepare the year-end financial statements. 4) To be the designated Compliance Officer and point of contact for MAS in respect of the company, preparation and submission of MAS quarterly reporting via MASNET for the company. Ensure compliance with MAS requirement in relation to Base Capital and Financial resources requirements. 5) Assist on development and implementation of Compliance Manual; to progressively review and document all business and financial processes that need enhancement for internal control purposes. 6) Preparation of tax return, liaise with tax agent for submission of company tax return to Inland Revenue Authority of Singapore. 7) Implementation of new accounting software (SAGE) in the company. 8) Liaise and work closely with corporate secretary in order to ensure the company’s finance and accounting practices comply and meet Companies Act requirements. 9) Prepare weekly and monthly cash flow and ensure that sufficient funds are available to meet ongoing operational requirements. Show less

    • Singapore
    • Real Estate
    • 1 - 100 Employee
    • Finance Manager
      • May 2008 - May 2014

      • Financial and management reporting - Reviewed monthly management accounts and variance analysis reports; ensured timely and accurate closing of monthly management accounts of the 6 reporting entities. - Recommended and proposed key performance indicators to monitor performance of commercial properties and included the KPI computation in variance analysis report since February 2011. • Budgeting and forecasting - Developed, consolidated and submitted annual budget and quarterly forecast for the reporting entities, based on the input of business assumptions from business units. - Actively interacting with the facilities management, marketing and leasing departments to review and track business performance by conducting periodical variance analysis, identify trends and ensure cost are control within budget. • Treasury and cash management - Performing treasury operational functions such as cash management and interest rate monitoring and forecasting. - Managing credit facilities and prepare and monitor the financial covenants to bank. - Preparation of monthly and long term project cash flow for the projects under development, track project budgets versus committed costs versus payment schedules, provide explanations for the loan drawdown from shareholders. - Preparation the computation for the distribution of dividend to REIT’s shareholders quarterly. • Team management - Successfully build a strong finance team of 11 team members that effectively functions independently for the day-to-day operations. - Lead, coach and guide the finance team, taking responsibility for their engagement and development. • Statutory audit and tax filing - Liaison with external auditor, tax agent and company secretary to ensure compliance with Singapore FRS and tax regulatory filings are made properly on a timely basis (including corporate tax, GST, property tax and withholding tax) for all the 6 reporting entities. Show less

    • United States
    • Pharmaceutical Manufacturing
    • 500 - 600 Employee
    • Senior Accountant
      • Jun 2006 - Apr 2008

      • Setup the finance function, including the accuracy and timely submission of financial and management reporting function, statutory compliance, yearly budgeting and monitor and analyze weekly forecasting, cash flow projection, inter-company reconciliation and regulatory reporting. • Responsible for quarterly GST reporting and ensure compliance with GST regulations in respect of Major Exporter Scheme, assisting to liaise with auditor for certification of yearly GST Analysis Reporting and filing of corporate tax returns. • Responsible for monthly, quarterly and yearly Hyperion reporting and rolling forecast required by Head Office in USA. • Responsible for employees’ monthly payroll, claims and bonus tabulation and registered Fisher under Auto-Inclusion Scheme. Show less

    • Türkiye
    • Investment Management
    • Accountant
      • Jan 2001 - May 2006

      • Responsible for the consolidation and analysis of monthly/quarterly/yearly consolidation management reports, cash flow projection and financial statements. • Responsible for preparation of seven office property trust accounts, one management company and few unit-holders accounts. • Perform analysis of property performance, review monthly financial statements and provide information to management so as to improve profitability and reduce costs. • Facilitated communication with the external auditors for year-end audit. Show less

Education

  • ACCA
    Bachelor's degree, Accounting and Finance
    1998 - 2000
  • Oxford Brookes University
    Bachelor of Applied Science (BASc), Applied in Accounting
  • University of Leicester
    Master of Business Administration (MBA), Major in Finance

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