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A leading company in the financial sector is seeking a Finance Manager to oversee the finance team and manage the full set of accounts. The role involves preparing financial reports, conducting audits, and coordinating with external stakeholders. Ideal candidates will have experience with ERP systems and advanced proficiency in Excel. This is an excellent opportunity to shape the finance strategy and lead a key department in the organization.
Responsible for the full set of accounts for the company and managing the finance team.
Prepare and present monthly financial reports in a timely manner.
Oversee day-to-day operational activities including general ledger, accounts payable, accounts receivable, inventory control, project costing, fixed assets, and cash management.
Perform quarterly GST reporting and submissions.
Conduct half-yearly stock takes and checks.
Assist with annual statutory audits, budgeting, and forecasting.
Coordinate with external stakeholders, auditors, tax agents, and the corporate secretary for statutory filing duties.
Handle Corporate Income Tax computation (ECI & Tax Computation) and IRAS submissions.
Experience with most ERP systems and data migration processes.
Lead the Finance and Accounting Department.
Additional accounting software experience will be considered:
Proficiency in advanced Excel functions (VLOOKUP, conditional formulas, macros, Access, etc.), MS Office, PowerPoint, MS Outlook, and internet applications.
Knowledge of Oracle database is a plus.