Enable job alerts via email!

Finance Executive

TotalEnergies

Singapore

On-site

SGD 45,000 - 75,000

Full time

19 days ago

Generate a tailored resume in minutes

Land an interview and earn more. Learn more

Start fresh or import an existing resume

Job summary

A leading company in the energy sector is seeking to hire an accountant to join their multicultural team in Singapore. This role involves daily accounting activities, tax preparation, and treasury functions, focusing on compliance and meticulous reporting. Ideal candidates will have some experience in accounting or be fresh graduates, demonstrating strong analytical skills, attention to detail, and the ability to work under pressure.

Qualifications

  • 2-5 years accounting experience or fresh graduates with relevant degree.
  • Detail-oriented and meticulous.
  • Able to work under pressure and meet deadlines.

Responsibilities

  • Handle daily and monthly accounting activities including asset accounting.
  • Prepare and submit GST and VAT reconciliations.
  • Manage vendor creation and reconciliation processes.

Skills

Analytical skills
Team player
Detail-oriented
Proactive
Strong Excel skills

Education

Degree in Finance/Accountancy/ACCA

Tools

SAP

Job description

Contexte et environnement

You will join a multicultural team and environment as our business is truly worldwide. Our market is very competitive, impacted by environmental regulations and oil prices volatility. The development of new businesses such as LNG or Biofuels requests a strong focus on governance.

Activités
HSE:
  • Report anomalies, near misses, share best practices, and provide feedback on HSE findings.
Accounting & Reporting:
  • Handle all daily and monthly accounting activities including fixed asset and IFRS16 lease accounting.
  • Process monthly staff claims in accordance with company policy.
  • Prepare monthly journals for accruals, prepayments, and inventory valuation (including inventory reconciliation).
  • Prepare non-trade invoices and follow up on payments.
  • Prepare monthly PNL reconciliation and ensure completeness between Trading and Accounting system.
  • Prepare Balance sheet schedules (including fixed cost analysis).
  • Manage monthly and quarterly Interco reconciliation, IFRS16, and other CAP reporting.
  • Prepare audit schedules, draft audited financial statements, and ACRA submission.
  • Prepare local regulatory statistical and GTP reporting.
  • Participate in projects including implementation, UAT testing, and coordinating with internal and external stakeholders.
Treasury:
  • Prepare daily outgoing payments and ensure they are properly approved and paid in a timely manner.
  • Daily reconciliation of receipts and payments in SAP, Medissys, and Themis.
  • Daily forecast of incoming and outgoing flows (to the Group Treasury) for all bank accounts.
  • Monitor company’s bank account balances to ensure sufficient funds to meet payment requirements and within approved overdraft limits.
  • Manage daily/monthly/quarterly forex hedging requirements and settlements.
  • Manage Sales of Receivables process including reporting, refunding, and reconciliation.
  • Perform derivative reconciliation and reporting.
  • Manage the vendor creation/modification/monthly supplier reconciliation process.
  • Prepare and submit monthly withholding tax and yearly COR and ensure compliance with local tax requirements.
  • Work closely with Group Treasury, affiliates, and bankers for all treasury-related matters.
  • Support affiliates on daily accounting and treasury activities.
Tax:
  • Check and prepare monthly and quarterly GST and VAT reconciliation for submission (including hedging for GST).
  • Ensure monthly reverse charge transactions are properly accounted for and prepare yearly RC election form for signature and filing in accordance with IRAS requirements.
  • Prepare MFT submission file for MFT renewal.
  • Check and ensure GST clause used in billing is correct. Provide guidance to Back Officer on appropriate GST/VAT clause to use.
  • Review completeness of VAT transactions and reconciliation performed by Back Officer for NL/BE/FR/Suriname regions.
  • Work with tax agents on tax studies and to clarify on tax advice.
  • Prepare annual/ad hoc corporate tax schedules.
  • Update monthly transfer pricing transactions and assist on benchmarking studies.
  • Track intercompany contracts for transfer pricing documentation purposes.
Profil du candidat
  • 2-5 years accounting experience. Fresh graduates are welcome (preferably with Degree in Finance/Accountancy/ACCA).
  • You are detailed and meticulous with good analytical skills.
  • You are a team player, mature, independent, proactive, and take initiative.
  • Having strong Excel skills/SAP experience is an advantage.
  • You are able to work under pressure and ensure closing deadlines are strictly adhered to.
Informations supplémentaires

TotalEnergies values diversity, promotes individual development, and offers equal employment opportunities to all candidates.

Get your free, confidential resume review.
or drag and drop a PDF, DOC, DOCX, ODT, or PAGES file up to 5MB.