Finance & Admin Executive - Full-Cycle Accounting

GRANDIOSE PTE. LTD.

Singapore

On-site

SGD 60,000 - 95,000

Full time

8 days ago
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Job summary

GRANDIOSE PTE. LTD. in Singapore is seeking an Accountant to handle the full set of accounts, plan and control cash flow, funding and budget allocation, and manage end-to-end financial processes including monthly close and balance sheet reconciliation.

You will prepare and interpret monthly financial information for management, ensure compliance with policies, establish internal controls, liaise with auditors, tax agents, banks, and support other departments with accounting and auditing tasks.

Qualifications

  • Experience managing full set of accounts and financial reporting.
  • Plan and control cash flow, funding and budget allocation.
  • Liaise with auditors, tax agents, and banks.

Responsibilities

  • General Ledger: Maintaining the central record of all financial transactions.
  • Accounts Payable (AP): Managing invoices and payments to suppliers.
  • Accounts Receivable (AR): Tracking invoices and payments from customers.
  • Bank Reconciliation: Ensuring bank statements match the company's records.
  • Financial Statement Preparation: Generating income statements, balance sheets, and cash flow statements.
  • Data Entry: Maintaining accounting databases using MYOB, bank statements, expenses, and other financial documents.
  • Compliance: Ensuring compliance with accounting standards and regulations.
  • Budgeting and Financial Reporting: Preparing budgets, forecasting, and reporting on financial performance.
  • Tax Preparation: Handling tax returns and compliance.
  • Auditing: Working with auditors to ensure compliance and accuracy.
  • General Office Administration: Assisting with other administrative tasks

Skills

Accounting
Cash flow planning
Audit liaison

Tools

MYOB

Job description

GRANDIOSE PTE. LTD. in Singapore is seeking an Accountant to handle the full set of accounts, plan and control cash flow, funding and budget allocation, and manage end-to-end financial processes including monthly close and balance sheet reconciliation.

You will prepare and interpret monthly financial information for management, ensure compliance with policies, establish internal controls, liaise with auditors, tax agents, banks, and support other departments with accounting and auditing tasks.

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