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Rosé Beauty Bar is seeking an experienced Accountant / Finance Executive to own the company’s accounts, clean up records, and set up proper accounting systems as the business scales. You will handle high transaction volumes across retail, service, e-commerce and livestream platforms, perform regular reconciliations, and generate monthly management reports to support strategic decisions.
This role includes payroll, CPF submissions and cost analysis to improve profitability, with in-house and
Rose Beauty Bar is looking for an experienced and hands-on Accountant / Finance Executive to take ownership of the company’s accounts, clean up existing financial records, establish proper accounting systems and manage ongoing bookkeeping as the business continues to grow.
This role requires someone who is comfortable working with a high volume of transactions across retail, service, e-commerce and online platforms.
Accounts Clean-Up & System Setup: Review, organise and clean up existing company accounts and financial records. Establish proper accounting workflows, filing systems, account categories and processes for accurate and efficient financial management moving forward.
Ongoing Bookkeeping: Maintain accurate and up-to-date bookkeeping records, including recording revenue, expenses, purchases, payments, refunds and other day-to-day financial transactions.
Bank & Platform Reconciliation: Perform regular bank reconciliations and reconcile transactions across payment gateways, booking systems and e-commerce/retail platforms.
Revenue & Expense Management: Track and account for revenue from different business channels, including salon services, livestream sales, e-commerce platforms and other sales channels. Categorise and monitor operating expenses, purchases, platform fees, commissions and other business costs.
Retail & Platform Accounting: Reconcile settlements and transactions from platforms such as Fresha, TikTok Shop, Shopee and other payment or retail platforms used by the company. Ensure platform fees, refunds, commissions and net payouts are properly accounted for.
Financial Reporting: Prepare monthly Profit & Loss statements, balance sheets, cash flow reports and other management reports required to understand the financial performance of the business.
Forecasting & Financial Analysis: Prepare revenue, expense, cash flow and profitability forecasts. Analyse financial performance, identify unusual variances and provide useful insights to support management decisions and future business planning.
Payroll & Statutory Support: Assist with payroll calculations, CPF submissions and other finance-related statutory requirements where required.
Costing & Management Accounts: Assist with service costing, product costing, campaign profitability, margins and other internal financial analysis where required.
Requirements:
Working Hours: Mon to Fri 11am – 7pm. Work From Home Thurs, Friday & Saturday (Half Day). In house for 3 days (Mon to Wed).
Staff Benefits: Annual leave, medical leave, paid public holidays, CPF contributions and other statutory leave benefits in accordance with MOM regulations.