Accountant

HYBRIONIC (SINGAPORE) PTE. LTD.

Singapore

On-site

SGD 48,000 - 76,000

Full time

14 days+
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Job summary

HYBRIONIC (SINGAPORE) PTE. LTD. is seeking an Accountant to manage the full set of accounting and ensure timely financial closing.

You will reconcile daily, monthly and yearly transactions, handle AP & AR, prepare monthly analyses for HQ, and liaise with auditors, tax agents and bankers. GST filing under IDGS scheme and year-end statutory statements are key duties. Additionally, you will provide weekly cashflow reports, perform bank and creditor reconciliations, and maintain the Fixed Asset

Qualifications

  • Strong GL knowledge.
  • Experience handling AP & AR.
  • GST filing experience.

Responsibilities

  • To perform full set accounting.
  • Reconcile daily, monthly and yearly transactions.
  • Present monthly financial analysis & report to HQ & Management.
  • Ensure accurate closing of accounts.
  • Maintain up-to-date Fixed Asset Listing and Balance sheet Schedule.
  • Handle AP & AR.
  • Tax computation / Tax estimation.
  • Monthly GST filing under IDGS scheme.
  • Liaise with external auditors, tax agents, bankers, company secretary, customs officers, etc.
  • Provide weekly cashflow reports, monthly bank reconciliations & monthly creditor reconciliations.
  • Be in charge of company cashbook.
  • Responsible for year-end audit, prepare audit schedule and statutory financial statements.
  • Any ad hoc task by higher management

Skills

General Ledger knowledge
AP processing
AR processing

Job description

Accountant

  • To perform full set accounting
  • Reconciling daily, monthly and yearly transactions
  • Present monthly financial analysis & report to HQ & Management
  • Ensure accurate closing of accounts
  • Maintain up-to-date Fixed Asset Listing and Balance sheet Schedule.

Strong General Ledger (GL) knowledge

Handle AP & AR.

  • Perform Tax Computation / Tax Estimation

Perform monthly GST filing as company is under IDGS scheme.

  • Responsible for liaisons with external auditors, tax agents, bankers, company secretary, custom officers, etc
  • Provide weekly cashflow report, monthly bank reconciliations & monthly creditor reconciliation

Be in charge of company cashbook

  • Responsible for year-end audit, prepare audit schedule and statutory financial statements
  • Any ad hoc task by higher management
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