Accounts Executive: Forecasting, Compliance & Growth

COLUMBIA REAL ESTATE PTE. LTD.

Singapore

On-site

SGD 31,000 - 47,000

Full time

7 days ago
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Benefits offered by this job

Career progression
Mentorship
Performance-based remuneration

Job summary

Columbia Real Estate Pte. Ltd. seeks a diligent accounting professional to join the finance team in Singapore.

You will learn to prepare the full set of accounts, including variance analysis and cash flow, for month-end and year-end close, while assisting with budgets, forecasts, and timely supplier payments. The role involves coordinating with the project team, ensuring invoices are authorised, and performing bank reconciliations, with exposure to tax and regulatory compliance as part of daily

Qualifications

  • Degree in Accountancy or ACCA Level 3 or equivalent.
  • Experience with Xero is a plus.
  • Short notice or immediate availability is advantageous.

Responsibilities

  • Learn to prepare full set of accounts including variance analysis and cashflow for month end and year end closing.
  • Prepare Budget and Forecast for quarter closing.
  • Prepare timely payments to suppliers and ensure invoices are duly authorised in accordance to company policies.
  • Perform other financial operations such as petty cash management, bank reconciliation, checking of expense claims.
  • Work closely with Project Team to ensure timely payments and resolve billing discrepancies.
  • Ensure compliance with the relevant accounting standards.
  • Liaise with tax agents and regulatory agents to ensure full compliance with laws and regulations.
  • Ad-Hoc analysis/reporting.

Education

Degree in Accountancy / ACCA Level 3 or equivalent

Tools

Xero

Job description

Columbia Real Estate Pte. Ltd. seeks a diligent accounting professional to join the finance team in Singapore.

You will learn to prepare the full set of accounts, including variance analysis and cash flow, for month-end and year-end close, while assisting with budgets, forecasts, and timely supplier payments. The role involves coordinating with the project team, ensuring invoices are authorised, and performing bank reconciliations, with exposure to tax and regulatory compliance as part of daily

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