Finance Manager
Position Overview: The Finance Manager will be responsible for supporting the IPO process and managing Investor Relations activities. This individual will work closely with senior leadership, external auditors, investment bankers, and legal teams to ensure a smooth transition to the public markets. A strong understanding of financial reporting, regulatory compliance, and the capital markets environment will be crucial in this role. The Finance Manager will also help shape the company’s communication strategies with investors and analysts.
Key Responsibilities:
* IPO Support:
o Collaborate with investment bankers, legal advisors, and auditors to facilitate the IPO process, ensuring compliance with all financial and regulatory requirements.
o Assist in preparing financial statements, disclosures, and reports required for the IPO filing.
o Coordinate with internal teams and external stakeholders to gather necessary financial data for the IPO prospectus.
o Manage the preparation and review of financial models, valuations, and projections for the IPO.
* Investor Relations (IR):
o Develop and implement strategies for investor communications, ensuring accurate and timely reporting to shareholders, analysts, and institutional investors.
o Assist in preparing materials for earnings calls, investor presentations, and board meetings.
o Act as a point of contact for investor inquiries, providing clarity on financial performance and company strategy.
o Monitor and analyze market trends, investor sentiment, and competitor activities to support the company’s IR strategy.
* Financial Reporting & Analysis:
o Oversee the preparation and analysis of financial statements, ensuring accuracy and compliance with IFRS/GAAP and other regulatory requirements.
o Assist with quarterly and annual financial reporting, including preparing board and management reports.
o Ensure the integrity of financial data and work with the accounting team to resolve any discrepancies.
* Regulatory Compliance:
o Stay up to date with financial regulations and reporting requirements, particularly those relevant to public companies.
o Support internal controls and ensure compliance with Sarbanes-Oxley (SOX) and other regulatory frameworks.
Qualifications:
* Bachelor’s degree in Accounting, Finance, or a related field; CFA, CPA, or equivalent qualifications preferred.
* 8+ years of experience in finance or accounting, ideally within an accounting firm and/or banking background.
* Previous experience supporting IPOs, IPO filings, and public company financial reporting is strongly preferred.
* Knowledge of capital markets, SEC regulations, and corporate governance.
* Strong analytical, problem-solving, and organizational skills.
* Ability to communicate effectively with both financial and non-financial stakeholders.
* Proficiency in financial modeling and advanced Excel skills.
* Experience in investor relations, including the creation of IR materials and engaging with institutional investors.
* Ability to work under pressure, manage multiple priorities, and meet deadlines.
* BOTH MANDARIN AND ENGLISH IS A MUST
Please feel free to reach out to Jonathan Luk for more information about the role via
E-mail:
Phone: +886 911 308 770