Accountant (West) [EL]

WECRUIT PTE. LTD.

Singapore

On-site

SGD 60,000 - 100,000

Full time

4 days ago
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Job summary

WECRUIT PTE. LTD. in Singapore is seeking a finance professional to oversee monthly close, reporting packages, and tax filings for subsidiaries across the group.

You will coordinate month-end closing, perform variance analysis, monitor cash flows, and liaise with auditors and tax consultants to ensure compliance and timely submission of statutory financial statements.

Qualifications

Responsibilities

  • Review monthly accounts, reporting packages and tax filing documents of subsidiaries to ensure accuracy, completeness and timely submission.
  • Coordinate and support accurate and timely month-end closing and tax filing activities for subsidiaries.
  • Perform financial variance analysis and prepare key management financial reports to support business decision-making.
  • Monitor subsidiaries' cash flows and capital requirements and highlight significant funding or liquidity matters to management.
  • Provide guidance and support to regional subsidiaries on accounting matters and the application of accounting policies.
  • Assist in the preparation of statutory financial statements in accordance with applicable accounting requirements.
  • Liaise with outsourced accountants, company secretaries, auditors and tax consultants on accounting, compliance and reporting matters.
  • Coordinate the Group's forecasting and budgeting processes with relevant business units and subsidiaries.
  • Monitor compliance with Group accounting policies, guidelines and internal control procedures established by Head Office.
  • Support other financial and accounting matters as assigned by management.

Job description


  • Review monthly accounts, reporting packages and tax filing documents of subsidiaries to ensure accuracy, completeness and timely submission.


  • Coordinate and support accurate and timely month-end closing and tax filing activities for subsidiaries.


  • Perform financial variance analysis and prepare key management financial reports to support business decision-making.


  • Monitor subsidiaries' cash flows and capital requirements and highlight significant funding or liquidity matters to management.


  • Provide guidance and support to regional subsidiaries on accounting matters and the application of accounting policies.


  • Assist in the preparation of statutory financial statements in accordance with applicable accounting requirements.


  • Liaise with outsourced accountants, company secretaries, auditors and tax consultants on accounting, compliance and reporting matters.


  • Coordinate the Group's forecasting and budgeting processes with relevant business units and subsidiaries.


  • Monitor compliance with Group accounting policies, guidelines and internal control procedures established by Head Office.


  • Support other financial and accounting matters as assigned by management.


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