A finance and accounting firm in Singapore is looking for a qualified candidate to manage full set accounts, including closing monthly accounts and preparing reporting packages for the Head Office. You will be responsible for GST reporting and daily cash flow monitoring. Ideal candidates should have experience in finance and strong compliance knowledge, ensuring accounting procedures meet company policies. Collaborating with audit teams is also vital in this role.
Qualifications
Experience in handling full set accounts.
Knowledge of GST reporting and compliance.
Ability to collaborate with audit teams.
Responsibilities
Handle full set accounts and bank reconciliation.
Close monthly accounts and prepare reporting packages.
Monitor and prepare daily cash flow reports.
Job description
Handle full set accounts, including Bank Reconciliation, Accounts Receivables, Accounts Payables, General Ledger, Intercompany Reconciliation.
In charge of closing of the monthly accounts.
In charge of preparing reporting package for Head Office.
Responsible for statutory GST reporting.
Responsible for the monitoring and preparation of daily cash flow reports.
Involve in the inter-company fund transfer to ensure liquidity of the company and ensure that inter-company balances are reconciled at month end.
In charge of accounts payables & accounts receivables
Ensure that the accounting process and procedures are in compliance with the companys policies.
Support the finance & accounts teams.
Collaborate with internal and external audit teams to facilitate smooth auditing processes.