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A financial services company in Singapore is seeking an individual to prepare and maintain full sets of accounts, ensuring compliance with local financial standards. Responsibilities include financial reporting, cash flow management, payroll processing, and budget preparation. The ideal candidate should have experience with SFRS and strong bookkeeping skills.
Prepare and maintain full set of accounts including general ledger, accounts payable/receivable, and bank reconciliations.
Prepare monthly, quarterly, and yearly financial statements in compliance with Singapore Financial Reporting Standards (SFRS).
Process payroll, CPF contributions, and related employee benefits.
Manage and monitor cash flow, ensuring timely payments and collections.
Assist with budget preparation, cost analysis, and financial forecasting.
Handle GST submissions and ensure compliance with IRAS regulations.
Liaise with auditors and prepare necessary documentation for annual audits.
Ensure accurate and timely bookkeeping and maintain proper accounting records.
Provide financial advice and support to management for decision‑making.
Perform ad‑hoc accounting and administrative tasks as required.