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0731 - Finance Executive (Construction / Up to $5000)

THE SUPREME HR ADVISORY PTE. LTD.

Singapore

On-site

SGD 60,000 - 80,000

Full time

Today
Be an early applicant

Job summary

A recruitment agency in Singapore is seeking an experienced Accountant to handle financial reporting and cash flow management. Applicants should have a Degree or Diploma in Accountancy and at least three years of experience in the construction sector. Proficiency in Sage 300 is a plus. The position offers a salary range of $4500 to $5000 and career progression opportunities.

Benefits

Career Progression Opportunities

Qualifications

  • At least 3 years working experience in a construction environment.
  • Must have full set (particularly cashflow) and management reporting experience.

Responsibilities

  • Prepare GL journals and manage the monthly financial close process.
  • Cash management planning and review cashflow forecast.
  • Responsible for inter-company and bank reconciliations.
  • Prepare audit schedules or balance sheet reconciliation.
  • Prepare financial forecasts.
  • Oversees GST submission and reconciliation.
  • Assist with internal and external audit processes.

Skills

Cashflow management
Management reporting
Sage 300 (Accpac)

Education

Degree/Diploma in Accountancy
Job description

Accountant (Construction / Sage 300)

  • Singapore Based (Ang Mo Kio)
  • 5 Days work per week (Mon – Fri 8.30am – 6pm)
  • Salary: $4500 to $5000
  • Degree/Diploma in Accountancy or equivalent professional qualification. + At least 3 years working experience in construction environment
  • Must have full set (particularly cashflow) and management reporting experience
  • Experience in Sage 300 (Accpac) would be an advantage.
  • Career Progression Opportunities
Roles & Responsibilities

Prepare GL journals and manage the monthly financial close process in a timely and accurate manner.

Cash management planning such as review cashflow forecast, ensure sufficient cash balances for operation needs.

Responsible for inter-company and bank reconciliations.

Prepare audit schedules or balance sheet reconciliation to ensure items are clear off on timely basis.

Prepare financial forecasts.

Oversees GST submission and reconciliation.

Assist with internal and external audit processes and controls as required.

Perform any other duties as assigned

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