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A leading logistics company in Singapore seeks an experienced finance professional to manage cash flow projections, audits, and accounts. The ideal candidate will have a strong background in finance/accountancy and be willing to work in Changi Airfreight Centre.
Responsibilities:
Prepare cash flow projections of the business entities.
Co-ordinate audit matters, ensure compliance with statutory requirements.
Administer Accounts Receivable and Accounts Payable.
Maintain journal entries, reconciliation of the general ledger matters.
Update and monitor budget including budgetary controls.
Administer banking transactions including internet banking.
Ensure accurate and the timely closure of monthly accounts.
Attend and co-ordinate administrative matters.
Assist in ad hoc duties assigned from time to time.
Requirements:
Candidate should possess at least a LCCI/Diploma or Advance/Higher/Graduate Diploma, Finance/Accountancy or equivalent.
At least 2 years of working experience in the related field.
Applicants should be willing to work in Changi Airfreight Centre.
Salary will commensurate based on working experience.
Applicants should be Singapore citizens or hold relevant Singapore residence status.