Singapore
On-site
SGD 50,000 - 70,000
Full time
Job summary
A trading and connection firm based in Singapore is seeking an experienced accounting professional to oversee accounting operations, manage financial reporting, and develop budgets. The role requires strong leadership in supervising junior staff and ensuring compliance with regulations. Candidates should have a strategic mindset for financial analysis and cash flow management. This position offers the opportunity to improve processes within the accounting department.
Responsibilities
- Oversee accounting operations including general ledger and payroll management.
- Prepare and analyze financial statements and reports for management.
- Develop and monitor company budgets and forecasts.
- Coordinate internal and external audits and ensure compliance.
- Supervise and train junior accounting staff.
- Implement accounting policies to improve efficiency.
- Analyze financial data and provide strategic recommendations.
- Monitor cash flow and manage working capital.
Responsibilities
- Oversee accounting operations: Manage daily activities such as general ledger, accounts payable, accounts receivable, and payroll.
- Financial reporting: Prepare and analyze monthly, quarterly, and annual financial statements and reports for management.
- Budgeting and forecasting: Develop and monitor company budgets, forecasts, and financial plans, often collaborating with other departments.
- Audit and compliance: Coordinate internal and external audits, and ensure compliance with tax laws, accounting standards (like GAAP), and other regulations.
- Team leadership: Supervise, mentor, and train junior accounting staff, delegating tasks and overseeing their work.
- Process improvement: Develop and implement accounting policies and procedures to improve efficiency and internal controls.
- Financial analysis: Analyze financial data, identify trends, and provide strategic recommendations to senior management.
- Cash flow management: Monitor and manage cash flow, including forecasting cash needs and managing working capital.