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Samsonite International S.A. is seeking an experienced finance professional to lead month-end closing, manage journal entries, accruals, balance sheet reconciliations and financial reporting for Singapore operations.
You'll ensure timeliness and accuracy of close in compliance with regional and statutory requirements, prepare audit schedules, GST/VAT workings and regulatory submissions, assist cash flow monitoring, support cross‑functional retail finance, and drive continuous improvement in
Manage month-end closing activities, including journal entries, accruals, balance sheet reconciliations, and financial reporting.
Ensure timeliness, accuracy, and completeness of month-end close in compliance with regional & statutory requirements.
Prepare audit schedules and supporting documents and coordinate with auditors to ensure timely resolution of audit queries and requests.
Prepare and review GST/VAT workings, and support corporate tax, statutory filings, and regulatory submissions.
Work closely with all business functions on retail operations and ensure Finance compliance.
Drive continuous improvement in processes, controls and reporting efficiency.
Support Senior Finance Manager in system enhancement, finance transformation and ad-hoc projects.