Manage the monthly cashflow by collaborating closely with internal stakeholders to forecast the cash needs, ensure adequate funds are available to meet financial obligations and identify liquidity gap
Perform monthly treasury analysis and reporting
Resolve payment issues
Prepare Cashflow projection and budget
Review monthly bank reconciliations
Review general ledger transactions to ensure accuracy
Review and prepare variance analysis for management reporting
Ensure timely, accurate month end, quarter end and year end closing and financial reporting to Management
Review monthly audit schedules
Coordinate and liaise with internal and external parties like auditors, Shared Service Team etc
Ensure compliance with all finance filing requirements, tax filing requirement, audits, procedures and forms both statutory and internal
Assist in new processes and system implementation when required and drive continuous improvement in processes
Fulfil other ad hoc duties as assigned
Requirements
Accounting degree
CPA/ ACCA or its equivalent
Experience in SAP is a plus
Good working knowledge of IFRS
Knowledge of Singapore’s Tax laws and regulations
Well-versed in MS office, especially MS Excel, Power Point and Word
A Self starter who is able to plan, organise and take initiative to meet job objectives and deadlines independently
Can-do attitude, driven and passionate about work
Strong verbal and written communication skills
Meticulous, possess good interpersonal skills and a team player