Responsibilities
- Manage the full set of accounts, ensuring accuracy and timeliness.
- Oversee invoicing, receipts, vendor invoice processing, and intercompany transactions.
- Prepare suppliers’ payments, journal entries, intercompany charges, bank reconciliations, and fixed asset registers.
- Handle month-end closing and reporting, including AR/AP reconciliations and journal entries.
- Prepare accurate monthly financial statements and management reports.
- Review and maintain Balance Sheet Schedules and control accounts.
- Liaise with internal departments to ensure proper recording of intercompany transactions.
- Coordinate with external auditors, tax agents, and company secretary on statutory audits, filings, and corporate governance matters.
- Ensure compliance with tax obligations (e.g., GST) and other regulatory requirements.
- Plan and manage company cash flow, funding, and budget allocations.
- Assist with budgeting, forecasting, and financial planning processes.
- Provide support to the Finance Department in ad-hoc projects and administrative tasks.
Qualifications
- Minimum Diploma holder with 3 years of relevant experience,
- Proficient in Microsoft Office, especially Excel
- Solid knowledge in financial reporting, budgeting, forecasting, and cash flow management
- Strong understanding of Singapore’s financial regulations, tax laws, and compliance frameworks
- Working Days: 5 days (one Saturday per month require back to office for half day)
How to apply
Interested applicants, kindly send your resume in MS WORD format or please click on “Apply Now”.
We regret only shortlisted candidates will be notified.
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Trust Recruit Pte Ltd
EA License No: 19C9950
EA Personnel: Hong Sze Wai (Sharon)
EA Personnel Reg No: R25128240