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Finance Executive

MINOR Food Group Singapore

Singapore

On-site

SGD 40,000 - 60,000

Full time

Yesterday
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Job summary

A leading food and beverage company in Singapore is seeking a reliable Finance Executive to join its Group Finance team. This position focuses on accounts receivable and receipt reconciliation across multiple brands. The role entails managing full accounts for a designated company during its expansion phase. Candidates should have a Diploma or Degree in Accounting/Finance, with 2 to 4 years of relevant experience in a fast-paced environment. Strong skills in receipt reconciliation and Excel are essential.

Qualifications

  • 2–4 years of relevant experience, preferably in F&B or retail.
  • Strong experience in receipt reconciliation, POS, and bank settlements.
  • Hands-on experience dealing with malls and delivery platforms is highly preferred.

Responsibilities

  • Perform daily and monthly reconciliation of sales receipts from various payment modes.
  • Reconcile POS sales reports against bank settlements and system records.
  • Maintain full set of accounts for one designated company.

Skills

Receipt reconciliation
Excel skills
Detail-oriented
Ability to work in a fast-paced environment

Education

Diploma / Degree in Accounting, Finance, or related field
Job description
Job Summary

We are seeking a reliable and detail-oriented Finance Executive to join our Group Finance team. This role focuses on Accounts Receivable and receipt reconciliation across multiple F&B brands, including mall operators and third-party delivery platforms. The position will also be responsible for managing the full set of accounts for one assigned company that is in a phase of active expansion.

Key Responsibilities
Accounts Receivable & Receipt Reconciliation (Multi-Brand)
  • Perform daily and monthly reconciliation of sales receipts from various payment modes (not limited to cash, credit cards, e-wallets, QR payments, vouchers)
  • Reconcile POS sales reports against bank settlements and system records
  • Handle mall operator settlements, including commission, rental deductions and charges
  • Reconcile third‑party delivery platforms (e.g. GrabFood, Foodpanda), including commissions, promotions, refunds, and payout differences
  • Investigate and resolve variances between POS, bank statements, malls, and platforms
  • Monitor outstanding settlements and follow up with malls and delivery partners
Full Set of Accounts – Assigned Company
  • Maintain full set of accounts for one designated company
  • Prepare journal entries, accruals, and monthly closing
  • Perform balance sheet and P&L reconciliations
  • Prepare schedules for audit, tax, and management reporting
  • Work closely with operations and outlet teams during expansion
Others
  • Assist in month‑end closing for group entities
  • Ensure proper documentation and compliance with internal controls
  • Support any other finance‑related requirements as assigned by the managers
Requirements
  • Diploma / Degree in Accounting, Finance, or related field
  • 2–4 years of relevant experience, preferably in F&B or retail
  • Strong experience in receipt reconciliation, POS, and bank settlements
  • Hands‑on experience dealing with malls and delivery platforms is highly preferred
  • Exposure to full set of accounts
  • Independent, detail‑oriented with strong Excel and reconciliation skills
  • Able to work in a fast‑paced, multi‑brand environment

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