Group Accountant

ASIA PROPERTIES & ASSETS CONSULTANCY PTE. LTD.

Singapore

On-site

SGD 70,000 - 100,000

Full time

2 days ago
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Job summary

ASIA PROPERTIES & ASSETS CONSULTANCY PTE. LTD. is seeking a meticulous Group Accountant to join the Corporate Finance team in Singapore. You will lead group reporting and consolidation in compliance with SGX, SFRS(I) and ACRA, and partner with senior management on strategic initiatives.

This role involves due diligence and financial analysis for potential corporate exercises, including M&A and real estate development projects, along with treasury management such as cash flow projections.

Qualifications

  • CA/ACCA or degree in accountancy; professional qualifications preferred.
  • 5–8 years in listed entities reporting with audit/IPO exposure.
  • Strong financial analysis skills and tax/GST knowledge.
  • Good communication and ability to interact with professionals.

Responsibilities

  • Group consolidation & financial reporting in compliance with SGX, SFRS(I) & ACRA.
  • Perform trend, variance analysis, and support performance decisions.
  • Model financial scenarios for M&A and real estate projects.
  • Assist in treasury, cash flow projections, and budgeting.
  • Coordinate with auditors, tax agents, and overseas affiliates.

Skills

CA/ACCA/Degree in Accountancy
Financial analysis
MS Excel
Communication skills
IPO/listing experience
Work under pressure

Education

CA/ACCA/Degree in Accountancy

Tools

MS Excel

Job description

Job Summary

We are seeking a meticulous and experienced Group Accountant to join our Corporate Finance team, reporting to the Financial Controller. The ideal candidate will be responsible for group reporting and consolidation in compliance with SGX, SFRS(I) and ACRA requirements, while forming a strategic partnership with senior management. This role also supports due diligence and financial analysis for potential corporate exercises, including mergers and acquisitions and real estate development projects, as well as treasury management such as cash flow projections.

Job Objectives
  • Group reporting & consolidationwith SGX, SFRS(I) & ACRA compliance
  • Strategic partnership with senior management
  • Support due diligence and analysis workstreams for potential corporate exercises as required
  • Perform financial analysis and modelling to support mergers and acquisitions (M&A) and real estate development projects, including deal evaluation and post-acquisition financial integration
  • Assist in treasury management, including preparing and monitoring cash flow projections
Responsibilities
  • To do group consolidation & financial reporting in accordance with SFRS(I)
  • To do detailed FS trend & variance analysis, & support performance tracking & decision making
  • To perform financial analysis and modelling to support deal evaluation
  • To maintain audit & tax schedules, JE, FS & group reporting package
  • To do weekly cash flow forecast
  • To do annual audited FS & XBRL filing
  • To do quarterly P&L estimates & forecast and annual budget/forecastexercise
  • To do FS & NTA for Group Annual Report
  • Liaison with internal/external auditor, tax agent, local & overseassubsidiaries/associates reporting in-charge
  • Toupdate/improve of consolidation/cashflow schedules/group reporting package templates
  • To implement & maintain adequate controls & recommend process improvement
  • To maintain accounting software (Chart of accounts & FS presentation, creating ID & update change of name/address of supplier, subcon & debtor) and liaise with consultant
  • Adhoc assignments
What We're Looking For
  • CA/ACCA/Degreein Accountancy &/or holder of professionalaccountancy qualifications
  • 5to 8 years of relevant working experience in listed entities reporting team& audit experience, with prior exposure to IPO / listing exercises
  • Strong track record in financial analysis; prior experience in the real estate industry is an advantage
  • Familiarity and ability to apply accounting standards, taxes, GST, SGX ruling & Companies Co Act
  • Proficiency in MS Office knowledge and must be strong in using the MS Excel application
  • Sound understanding ofIPO/listing requirements and financial analysis techniques; familiarity with real estate development or investment holding structures is a plus
  • Must possess excellent working and communication skills to interact effectively with business associates & professionals
  • Willingness to work flexible schedules during peak periods, able to meet timelines and work in a high-pressure environment
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