Bid & Project Finance Controller

THALES SOLUTIONS ASIA PTE. LTD.

Singapore

On-site

SGD 70,000 - 110,000

Full time

10 days ago
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Job summary

THALES SOLUTIONS ASIA PTE. LTD. is seeking a Project Controller in Singapore to support all branch finance processes, including financial accounting, reporting, and month-end tasks. You will monitor the general ledger, analyze variances, and assist with audits.

The role involves coordinating month-end activities, preparing statutory accounts, managing accounts receivable, reconciling balance sheets, and providing cash flow forecasts. Strong Excel skills and CPA/CA progress are preferred.

Qualifications

  • Tertiary qualification in Accounting, Business or Finance, CPA/CA (or working towards) Demonstrated experience in preparation of external reporting requirements
  • Demonstrated experience and knowledge utilising MS Excel for large transactions
  • Well-developed written and verbal communication skills
  • Strong organisational and time management skills, with the ability to meet tight deadlines and perform under pressure, while maintaining high attention to detai

Responsibilities

  • Assist in the coordination of all financial accounting accountabilities including end of month and annual external reporting
  • Preparation and review of Annual Statutory Accounts including interfaces with Thales Australia Corporate Finance & auditors
  • Manage accounts receivable, including Age Analysis and overdue debtor follow-up.
  • Conduct key Balance Sheet account reconciliations
  • Cash flow forecasts & Treasury support
  • Ownership of Financial aspects assigned Bids

Skills

Accounting/Finance experience
CPA/CA or in progress
External reporting
MS Excel

Education

Accounting/Finance degree or equivalent

Tools

MS Excel

Job description

THALES SOLUTIONS ASIA PTE. LTD. is seeking a Project Controller in Singapore to support all branch finance processes, including financial accounting, reporting, and month-end tasks. You will monitor the general ledger, analyze variances, and assist with audits.

The role involves coordinating month-end activities, preparing statutory accounts, managing accounts receivable, reconciling balance sheets, and providing cash flow forecasts. Strong Excel skills and CPA/CA progress are preferred.

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