Finance Executive #JTL

RECRUIT EXPRESS PTE LTD

Singapore

On-site

SGD 60,000 - 90,000

Full time

14 days+
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Job summary

Recruit Express Pte Ltd is seeking a Financial Accountant to handle monthly closing, reconciliations, and statutory reporting in Singapore. You will manage chart of accounts, assist with consolidation, and support audits.

The role covers treasury activities, tax computations, and system migration initiatives. Proficiency in Excel and reporting tools is required, with GST and corporate tax knowledge a plus. Immediate-start possible.

Qualifications

  • Minimum Diploma or Degree in Accountancy, Finance, or related discipline.
  • Relevant experience in financial accounting, reporting, consolidation, tax, or treasury.
  • Experience with system migration, UAT, data validation, or chart of accounts setup is a plus.
  • Strong proficiency in Microsoft Excel and financial reporting tools.
  • Knowledge of GST, corporate tax, accounting standards, and statutory reporting requirements.

Responsibilities

  • Prepare monthly closing journals, reconciliations, and supporting schedules.
  • Maintain and review chart of accounts, including creation and archiving.
  • Support external audit and internal review processes.
  • Ensure compliance with accounting standards and statutory requirements.
  • Assist in annual statutory accounts preparation, XBRL filing, and monthly consolidation.
  • Support AP/AR reviews, including ledger reconciliations and vendor statements.
  • Prepare vendor payments and applications for bank guarantees.
  • Assist GST submissions, GST reconciliations, tax provisions, and corporate tax computations.
  • Participate in data migration, UAT, and system implementation activities.
  • Prepare treasury reports and monitor cashflow, with quarterly projections.

Skills

Financial accounting
Financial reporting
System migration
Treasury
Excel proficiency

Education

Diploma/Degree in Accountancy or Finance

Tools

Microsoft Excel
Financial reporting tools

Job description

Financial Accounting


  • Prepare monthly closing journals, account reconciliations, and supporting schedules.

  • Maintain and review chart of accounts, including account creation, consistency checks, and archiving.

  • Support external audit and internal review processes.

  • Ensure compliance with accounting standards and statutory requirements.

  • Assist in the preparation of annual statutory accounts, XBRL filing, and monthly consolidation where applicable.

  • Support Accounts Payable and Accounts Receivable reviews, including sales ledger, purchase ledger, intercompany billing, debtors ageing, and vendor statement reconciliations.

  • Prepare vendor payments and applications for Banker’s Guarantees.

  • Assist in GST submissions, GST reconciliations, tax provisions, deferred tax, and corporate tax computations.



Financial Reporting


  • Prepare monthly, quarterly, yearly, and ad-hoc financial reports and analysis.

  • Review reports prepared by the shared services centre.

  • Prepare and submit statistical reports and surveys.

  • Support the preparation and finalisation of budgets and forecasts.

  • Coordinate budget and forecast submissions with various departments.

  • Assist in consolidation reporting for actuals, forecasts, and budgets.

  • Prepare and post monthly consolidation adjustments and working files.

  • Support tax reporting requirements.



System Migration


  • Assist in data migration, data validation, and verification activities.

  • Participate in User Acceptance Testing (UAT) and support system implementation activities.

  • Assist with chart of accounts and data structuring where required.

  • Support finance-related projects and other ad-hoc system migration matters.



Treasury


  • Assist in monitoring Singapore Group cashflow.

  • Prepare treasury reports, including daily and monthly cash reports.

  • Prepare quarterly cashflow projections.

  • Support ad-hoc treasury-related projects.



Who We're Looking For


  • Minimum Diploma or Degree in Accountancy, Finance, or a related discipline.

  • Relevant experience in financial accounting, reporting, consolidation, tax, or treasury.

  • Experience with system migration, UAT, data validation, or chart of accounts setup will be an advantage.

  • Strong proficiency in Microsoft Excel and financial reporting tools.

  • Knowledge of GST, corporate tax, accounting standards, and statutory reporting requirements.

  • Able start work on short notice.

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