Andre Chee work email
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Andre Chee personal email
Working in a MNC, listed company and in one of the big four auditing firms previously has taught me the importance of organising my own work, setting priorities and meeting critical deadlines. I work well under stress and pressure and look forward to challenges. I am a very sociable person and would consider myself very much a team player. The working experience gained through my several years in accounting, finance and audit will be invaluable to your organisation, as I have found it to be for my own career and personal development.
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Finance ManagerFamous Amos Jan 2024 - PresentSingapore• Oversee the Company’s finance and accounting duties, finance team and manage the full set of accounts with timely monthly profit and loss reporting.• Review yearly, quarterly and monthly performance, perform analysis and reporting.• Manage the cash flow of the Company and review audited financial statements.• Prepare annual budgets, financial reports and monthly forecasts.• Continually review all finance related procedures and activities, including cash management, stock control and implement best practices for internal control procedures for Finance and the Company.• Deal with external parties such as (not limited to) auditors, tax agents, company secretary, bankers.• Maintain updated product costings and control with simulations and margin analysis.• Continually monitor, track and review product costs and company expenses.• Forecast usage and plan for core (product) raw materials, and coordinate with key suppliers for re-ordering, logistics arrangements and quality issues.• Review leasing business cases and administer leasing and franchise-related correspondence and matters.• Correspond and manage finance and ordering related activities with franchise partners.• Undertake any ad-hoc assignment as and when needed -
Samea Cashiering Team LeaderLloyd'S Register Mar 2019 - Dec 2022Singapore• Manage a team of 4 cashiers• Bank administrator• Maintain banking relationships• Maintaining SAMEA companies’ cashflow• Monthly cash flow forecast• Reviewing bank reconciliation and ensuring open items are cleared• Ensuring that cash receives and paid are supported by the relevant supporting documents• Part of the team in implementing the new accounts software, ByD (SAP) -
Gl SpecialistLloyd'S Register Nov 2016 - Mar 2019• General ledger; mainly in charge of all India and Taiwan entities.• Posting of journal entries• Balance sheet schedules• Bank reconciliations• Intercompany reconciliations• Monthly closing• Monthly cash flow forecast• Work closely with the O2I, AP and AR team for resolution of issues.• Work closely with the finance managers on statutory matters.• Fixed Assets capitalization and monthly depreciation.• Assist in yearly and group audit.• System knowledge includes JDE. -
Finance ManagerComicave Studios Pte Ltd May 2015 - Dec 2015• Providing and interpreting financial information;• Monitoring and interpreting cash flows and predicting future trends;• Analysing change and advising accordingly;• Formulating strategic and long-term business plans;• Researching and reporting on factors influencing business performance;• Analysing competitors and market trends;• Developing financial management mechanisms that minimise financial risk;• Conducting reviews and evaluations for cost-reduction opportunities;• Reporting to head office in Dubai;• Liaising with auditors to ensure annual monitoring is carried out;• Developing external relationships with appropriate contacts, e.g. auditors, solicitors, bankers and statutory organisations such as the Inland Revenue;• Producing accurate financial reports to specific deadlines;• Managing budgets;• Arranging new sources of finance for a company's debt facilities;• Supervising staff;• Keeping abreast of changes in financial regulations and legislation. -
Senior Group Finance ManagerPopular Holdings Limited Oct 2014 - May 2015• Providing and interpreting financial information;• Monitoring and interpreting cash flows and predicting future trends;• Analysing change and advising accordingly;• Formulating strategic and long-term business plans;• Researching and reporting on factors influencing business performance;• Analysing competitors and market trends;• Developing financial management mechanisms that minimise financial risk;• Conducting reviews and evaluations for cost-reduction opportunities;• Managing a company's financial accounting, monitoring and reporting systems;• Liaising with auditors to ensure annual monitoring is carried out;• Developing external relationships with appropriate contacts, e.g. auditors, solicitors, bankers and statutory organisations such as the Inland Revenue;• Producing accurate financial reports to specific deadlines;• Managing budgets;• Arranging new sources of finance for a company's debt facilities;• Supervising staff;• Keeping abreast of changes in financial regulations and legislation. -
Senior Finance ManagerCushman & Wakefield - Formerly Dtz Jul 2012 - Jul 2014• Maintain an effective accounting system with sound internal controls to ensure integrity of financial processes and information, and recommend process improvements• Preparation of reports and profitability analysis to management, business units, head office• Statutory reporting to the regulators• Liaise with senior management of serviced entities• Participate in the monthly Business Committee Meeting with the management• Preparation of budgets and forecasts• Manage the audit, taxation and GST matters of the assigned companies, including supervision of staff and liaison with external auditors, tax agent and regulators• Support oversight the activities of the global offices• Handle and participate in ad-hoc projects, as assigned -
Group Accounts ManagerTee International Limited Feb 2010 - Jun 2012• Reporting to the Group Finance Controller, lead and supervise a team of finance staff, and work closely with the business units towards achieving the strategic objectives of the company. • Manage quarterly management reporting and perform financial forecasts, financial review and analysis, cashflow management and projection• Liaise and work closely with internal and external auditors, tax advisors and relevant local authorities in order to understand and ensure the company’s F&A policies / procedures / practices fully meet the relevant requirements. • Prepare and assist in the quarterly and year-end management and statutory reporting to ensure all regulatory reporting and filing obligations are met• Oversee the department’s daily operations• Ensure timely and accurate reporting of financial and management reports• Provide interpretation of financial information• Review & enhance the efficiency and effectiveness of the business, operational process and internal control system throughout the group of companies• Work closely with other departments and provide professional expertise and advise on financial related matters• Supervise and train accounting personnels -
Assistant Audit ManagerDeloitte Sep 2005 - Feb 2010Singapore• Audited a diverse portfolio of more than 30 companies, including private and public listed companies, multinationals and a statutory board. Exposure to industries include chemical trading company, construction and engineering, shipping, fashion, food & beverage, stat board, country club, restaurant chain, information technology and regulatory.• Involved in audit engagements from the commencement of audit planning, execution and completion of fieldwork, wrapping up stage to the issuance of financial statements within the statutory deadlines. This also involves coordinating with overseas auditors to meet tight reporting deadlines for clients with presence in Switzerland, South Africa and Hong Kong• Audit performance covering Profit and Loss (i.e. income and expenses), Balance Sheet (i.e. fixed assets, cash, payables, receivables, accruals and inventory, etc), equity (i.e. share capital, investments) and cash flow statements reconciliation.• Internal controls design and implementation performance; Consists of identification of relevant controls for the various business cycles, evaluation and testing of the effectiveness of identified controls, and recommendations for mitigating controls for identified control weaknesses.• Preparation of financial statements.• Provided guidance to staff and constantly monitors their performance.
Andre Chee Skills
Andre Chee Education Details
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Professional Accounting -
Accountancy
Frequently Asked Questions about Andre Chee
What company does Andre Chee work for?
Andre Chee works for Famous Amos
What is Andre Chee's role at the current company?
Andre Chee's current role is Finance Manager, CPA.
What is Andre Chee's email address?
Andre Chee's email address is andre.chee@lr.org
What schools did Andre Chee attend?
Andre Chee attended Murdoch University, Ngee Ann Polytechnic.
What skills is Andre Chee known for?
Andre Chee has skills like Financial Accounting, Corporate Tax, Forecasting, Finance, Financial Reporting, Accounting, Internal Controls, Financial Analysis, Consolidation, Auditing, Corporate Finance, Management.
Not the Andre Chee you were looking for?
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2truphone.com, gmail.com
1 +447380XXXXXX
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Andre Lue Chee Kong
Experienced Manager | Retail Leader Driving Operational Excellence & Sales GrowthToronto, On -
Andre Chee jing
Pursue To Supply Chain Logistics Since Graduate.Always Open To Job Opportunities And Embrace New ChallengesSingapore -
1avon.com
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