Profile of freddie chua

freddie chua Finance Manager
12 years experience 0 projects worked Malaysia
RM50.00 /hr RM0 earned
AccountingAuditBookkeepingData Entry

with over 12 years of experience in accounting, audit, and financial reporting across Malaysia and Singapore. Experienced in managing full set of accounts, group consolidation, financial analysis, and supporting business decision-making in fast-paced environments.

Work History (0)

  • There are no activities yet.

Work Experiences

  • Account Executive

    XMI Pte Ltd

    August 2011 - May 2013

    •Handled AP/AR, month-end and year-end closing.
    •Prepared fixed asset register, audit schedules, P&L, balance sheets.
    •Performed bank reconciliation and full bookkeeping.

  • Audit Senior

    Tan Wee Tin & Co.

    June 2013 - March 2016

    •Performed external auditing duties for a wide range of industries including small and medium-size enterprises, multinational corporations and subsidiaries local companies.
    •Identified internal control weaknesses and recommended improvements.
    •Delegated and reviewed junior staff work.
    •Provided timely updates to managers and partners.

  • Audit Senior

    Mazars LLP

    July 2016 - March 2018

    •Led full audit fieldwork from planning to completion.
    •In-charged and assist for audit assignments covering a wide range of industries such as marine, shipping, trading, manufacturing, including first year audit engagement which took over from other auditors.
    •Reviewed on business procedures and regulations ensuring on the integrity of operations data.
    •Identifies and communicates issues raised, offering recommended solutions and conclude on the impact of issued identified.

  • Group Accountant (Consolidation)

    KOP Limited (SGX Catalist)

    September 2018 - July 2021

    •Managed quarterly group consolidation and SGX announcements.
    •Assisted in board papers, annual reports, and statutory filings.
    •Managed consolidation for 30+ entities across the region.
    •Participated in financial due diligence and consolidation assessment for group expansion and acquisition activities.
    •Assisted management with acquisition-related financial analysis and reporting implications.
    •Handled full set of accounts for 5 entities.
    •Prepared monthly reports, audit schedules, and variance analyses.
    •Co-ordination with external auditor, internal auditor, tax agents and professional advisor.

  • Assistant Group Finance Manager

    Oxley Holdings Limited (SGX Mainboard)

    March 2022 - June 2022

    •Prepared consolidated interim/annual financial statements for 115 entities.
    •Prepared SGX half-year and full-year result announcements.
    •Performed variance analysis and reporting to Audit Committee & Board.
    •Led monthly group/sub-group consolidations and management reporting.
    •Ensured timely completion of accounting activities for treasury and subsidiary entities.
    •Ensure compliance with accounting, tax, statutory, and SGX listing requirement, Group policies, and internal
    controls.
    •Assisted in budgeting and forecasting for the Group.
    •Liaise with external/internal auditors and external service providers.

  • Assistant Account Manager

    BDO Corporate Services Pte Ltd

    July 2022 - December 2022

    • Prepared quarterly consolidation workings for 57 APAC entities.
    • Produced financial statements in compliance with Companies Act and SFRS.
    • Reviewed monthly closing, payroll, CPF, and quarterly GST filings.
    • Supervised and coached a team of 5 subordinates.
    • Acted as main client contact to enhance service experience.
    • Liaise with clients’ auditors and tax agents to ensure a smooth exchange of information.
    • Work with other BDO teams, domestic and international, to meet client’s needs.
    • Establish good client relationships through positive interactions with the client’s team.

  • RE Assistant Finance Manager

    HSBC Global Asset Management (Singapore) Limited

    January 2023 - December 2024

    •Reviewed monthly NOI reports ensuring accuracy and completeness across multiple property managers.
    •Coordinated quarterly and annual financial statements with fund administrators under IFRS.
    •Managed group consolidation processes ensuring timely, accurate reporting.
    •Prepared quarterly investor reports, capital account statements, management fee calculations, and ad-hoc reporting.
    •Monitored portfolio cash positions to meet working capital, loan covenant, and compliance requirements.
    •Analyse cash positions and ensure capital calls and distributions are planned appropriately to meet the needs of
    the fund and its investors.
    •Timely issuance of capital call and distribution notices and monitoring receipts of funds per the notices’ value dates.
    •Oversaw half-yearly debt compliance certificates and funding flows within fund structures.
    •Managed SPV corporate secretarial matters, bank account openings/closures, and cash movement.
    •Handled audits, tax matters, and ensured timely statutory filings.
    •Worked closely with fund administrators, AIFM, auditors, tax agent, lenders, etc.
    •Ad hoc finance duties and initiatives from management as required.

Education

  • Diploma in Accounting

    INTI College Subang Jaya

    May 2006 - December 2008

  • BA (Hons) Accounting

    University of Hertfordshire

    January 2009 - June 2010