Our client is a leading semiconductor solutions provider specializing in advanced IC design and chip development. With a strong focus on innovation and engineering excellence, they serve global markets in consumer electronics, IoT, and high-speed connectivity. Job Summary To support the company's financial planning, analysis, and corporate finance initiatives. The ideal candidate will play a key role in budgeting, financial forecasting, treasury management, and cost optimization. Key Responsibilities: 1. Budgeting, Forecasting & Performance Tracking - Working on monthly/annual budgeting and periodic forecasting processes - Monitor and report on budget vs actual performance, providing variance analysis and actionable insights 2. Capital Raising & Corporate Exercises - Participating and supporting in strategic corporate finance exercises 3. Banking & Treasury Management - Managing banking relationships, oversee cash flow planning, and ensure optimal liquidity positions - Supporting the oversight of treasury operations including FX exposure, and investment of funds 4. Cost Management & Financial Efficiency - Lead cost reduction initiatives and efficiency programs to improve profitability Qualifications At least Bachelor&aposs degree or higher in finance or accounting related fields At least 7-10 years of finance and/or accounting experience. Strong in FP&A (Financial Planning & Analysis) and have exposure to international tax. Good proficiency in speaking and writing in English is a must. Mandarin speaking fluency and reading ability are preferred but not compulsory. Proficient in using MS Word, advanced Excel (PivotTables, VLOOKUP, macros), and applicable accounting software. Professional qualification or certification (eg. CFA/CPA or similar) is an added advantage. Show more Show less