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Senior Accounts Executive

ORIENT NATURAL RESOURCES PTE LTD

Singapore

On-site

SGD 60,000 - 80,000

Full time

Yesterday
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Job summary

A leading resources management company in Singapore is seeking an experienced accounting professional to manage the full set of accounts, including inter-company transactions. The ideal candidate has a Bachelor's degree in Accounting or Finance and is proficient in Microsoft Excel. The role includes preparing tax returns, managing cash flow, and ensuring compliance with financial standards. Strong analytical skills and the ability to work independently are essential for success in this position.

Qualifications

  • Bachelor's degree preferred in Accounting / Finance or related fields.
  • Experience with inter-company accounts transactions is advantageous.
  • Familiarity with company tax computation is preferred.
  • Strong experience in monthly and quarterly closings and audits is crucial.
  • Analytical skills to interpret financial data and provide insights are essential.
  • Proficiency in Microsoft Excel is necessary.
  • Ability to work independently with minimal guidance.

Responsibilities

  • Manage the full set of company accounts including inter-company accounts.
  • Prepare and submit progress claims for assigned projects.
  • Assist in preparing tax returns and statutory filings.
  • Analyze business operations and costs.
  • Prepare journal entries for month-end closing.
  • Perform reconciliation of fixed assets.
  • Manage company cash flow and supplier payments.
  • Ensure compliance with tax regulations and financial reporting standards.
  • Process supplier invoices and ensure timely payments.
  • Prepare intercompany transaction balances and periodic reconciliations.
  • Conduct monthly bank account reconciliation.
  • Review account receivable/payable aging and take necessary actions.
  • Implement and improve financial workflows to enhance internal control and efficiency.
  • Handle ad hoc tasks to support financial management.

Skills

Financial analysis
Inter-company account transactions
Tax computation
Microsoft Excel
Audit compliance

Education

Bachelor's degree in Accounting / Finance
Job description
Job description

Your main role is to manage full set company accounts, including inter-company accounts.

  • Prepare and submit the progress claim for assigned projects.

  • Prepare monthly closing stock and analysis

  • Assist in the preparation and submission of tax returns and other statutory filings

  • Analyze business operations and cost

  • Prepare journal entries for month-end closing

  • Perform reconcilition of fixed assets

  • Manage company cashflow and supplier payments

  • Ensure compliance with tax regulations and financial reporting standards.

  • Process with supplier invoice and settle payment on timely basis.

  • Prepare Intercompany transaction, balance reconciliation and settle outstanding balance periodically.

  • Monthly Account Bank Reconciliation, ensure the bank statements align with the financial records.

  • Review account receivable/account payable aging and take necessary action accordingly.

  • Review, implement, and improve financial workflows, processes, and policies to strengthen internal control and compliance and enhance operational efficiencies.

  • Ad hoc tasks to support financial management function.

Requirements
  • Preferred Bachelor's degree in Accounting / Finance or related fields.

  • Prefer candidate with experience in inter-company accounts transactions

  • Prefer candidate with experience in company tax computation

  • Strong experience in monthly & quarterly closings and audits, ensuring accuracy and compliance

  • Analytical skills with the ability to interpret financial data and provide actionable insights.

  • Proficiency in Microsoft Excel

  • Be able to work independently with minimum guidance

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