Handle full set of accounts for Singapore business unit including submission of actual result (P&L, BS, Cashflow).
Ensure timely and accurate month-end closing financial reporting to management.
Responsible for preparation and closing of monthly and annual financial statements.
Manage treasury function and cash flow planning.
Prepare management reports, forecast and budget reports.
Liaise with external auditor on all audit matters.
Handle audit queries and issues.
Hands-on experience in managing overall accounting functions such as Account Receivables, Account Payables and General Ledger.
Assist the finance manager in all related areas such as statutory audit, corporate tax and GST.
Establish, review and improve accounting procedures and internal control system.
To review and recommend or develop any operational changes (policy, procedures, processes and etc.) so as to achieve operational efficiency and improvement.
Coordinate and liaise with parties such as external auditors, tax agents, corporate secretarial agents, local tax and government authorities where required.
To supervise junior executives, provide assistance and/or guidance to them in executing their duties.
Any other ad-hoc duties as assigned and required by the company.
Diploma or Degree in Finance/Accountancy/Banking, or any related field.
Possess 5 years of experience in accounting, finance or auditing.
Excellent financial modelling, analytical, decision-making and project management abilities.
Good communication, organizational and interpersonal skills to coordinate with all levels.
Able to work in a fast pace environment.
Good team player with strong leadership.
Self-motivated and able to show responsibility in managing the team.
Strong analytical mind and meticulous nature.
Responsibilities/Duties: · Perform monthly management accounts closing and financial reporting for Singapore and overseas entities in adhering to timeline · Process the account payable and account r
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