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Reolink Innovation Inc
Group Closing
●Own the end-to-end monthly, quarterly, and year-end close calendar across all 16 entities, driving adherence to close deadlines and escalating slippage.
●Prepare and review group consolidated P&L, balance sheet, and cash flow, including intercompany eliminations, FX translation, and minority interest adjustments.
●Maintain and continuously improve the NetSuite consolidation module and chart of accounts mapping across entities and currencies.
●Review statutory-to-management reporting reconciliations and ensure consistent group accounting policies across all jurisdictions.
Financial Reporting & Technical Accounting
●Prepare group management accounts, board reporting packs, and variance analysis against budget and forecast.
●Research and apply technical accounting positions (revenue recognition for hardware + cloud subscription bundles, intercompany royalty/TP entries, lease accounting, impairment) under SFRS(I) / IFRS.
●Partner with external auditors (statutory audits across multiple jurisdictions) and support transfer pricing and tax advisors on intercompany matters.
Controls, Systems & Process
●Design and enforce month-end close checklists, balance sheet reconciliation standards, and journal approval controls across the group.
●Drive standardization of accounting processes ahead of transitioning transactional accounting activities to the SSC.
●Identify and implement NetSuite automation opportunities to shorten the close cycle and reduce manual reconciliation effort.
Team & Stakeholder Management
●Lead and develop the Singapore consolidation/GL team; provide technical guidance to entity-level finance staff and the emerging SSC RTR function.
●Act as the key liaison between HQ finance, regional entity controllers, and external auditors on all closing and consolidation matters.
●Support the Group Finance on ad hoc projects, including new entity onboarding, M&A integration accounting, and system implementations.
●Degree in Accountancy/Finance; CA (Singapore) or equivalent professional qualification (CPA, ACCA) required.
●5–10 years of progressive accounting experience, including Big 4 audit training followed by group finance / consolidation roles in a multi-entity, multi-currency environment.
●Proven hands-on experience closing and consolidating 10+ legal entities, ideally across APAC and at least one Western jurisdiction (Europe or US).
●Strong working knowledge of SFRS(I)/IFRS, including revenue recognition, intercompany eliminations, and FX translation.
●NetSuite (or comparable ERP) experience strongly preferred; advanced Excel skills essential.
●Experience operating in or transitioning processes to a shared services / SSC model is an advantage.
●Prior exposure to consumer electronics, hardware-plus-subscription business models, or transfer pricing matters is a plus.
●Meticulous, deadline-driven, and comfortable operating in a lean HQ team with high ownership expectations.
Job Type: Full-time
Pay: $5,000.00 - $10,000.00 per month
Work Location: In person
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