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Senior Finance Executive

Phillip Securities Pte Ltd

Singapore

On-site

SGD 36,000 - 54,000

Full time

19 days ago

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Job summary

A leading company within the PhillipCapital Group seeks a finance professional to support financial and management reporting tasks. You will handle accounting bookkeeping, ensure compliance with regulatory requirements, and assist in process improvements and IT initiatives. The ideal candidate has a diploma or degree in accountancy, at least 1-3 years of relevant experience, and possesses strong analytical and communication skills.

Qualifications

  • Minimum qualifications: Diploma/Advance Diploma/Degree in Accountancy.
  • 1-3 years of relevant experience preferred, especially in financial services.
  • IT knowledge in programming and data analytics is a plus.

Responsibilities

  • Responsible for financial and management reporting.
  • Handle accounting bookkeeping, reconciliations, and cash management.
  • Ensure compliance with regulatory reporting and internal controls.

Skills

Problem Solving
Data Analytics
Communication
Microsoft Office

Education

Diploma/Advance Diploma/Degree in Accountancy

Job description

Responsibilities:

Reporting to the Finance Manager, you are responsible for helping the organisation accomplish its objectives by performing financial and management reporting, and consolidating operational information of the entities in the PhillipCapital Group; safeguarding of the assets by enforcing a high standard of internal controls and compliance with the regulatory requirements and company policies. Depending on your competencies and personal attributes, you might involve in taxation, GST management, treasury management, sub-group consolidation, IT Automation project, liaison with various stakeholders, this includes but not limited to other business units, internal and external auditors and bankers.

  • Assigned to handle accounting book keeping for one of the main financial product
  • Perform daily operational work and preparation of bank/broker reconciliations
  • Handling the cash management functions such as daily processing, fund transfer and various projects, if assigned
  • Month-end closing, monthly management reporting, and annual statutory reporting, supported by schedule of accounts
  • Full set accounting for certain subsidiary’s book
  • Liaising and preparation of information to meet external audit requirements
  • Meet regulatory reporting requirements with the authorities such as MAS, SGX, ACRA, IRAS and local applicable laws
  • Compliance with the Securities and Futures Act regulations (“SFA”) and all other regulations applicable to the Group, this includes daily treasury cash management and trust maintenance
  • Assist in process improvement and IT initiative to enhance efficiency and effectiveness
  • Other duties whenever assigned

Requirements:

  • Minimum qualifications: Diploma/ Advance Diploma/ Degree in Accountancy. Professional qualification is advantageous.
  • Preferable to have at least 1-3 years of relevant working experiences. Exposure in financial services industry would be preferred.
  • IT knowledge in programming, coding and data analytics is preferred.
  • Positive, meticulous, systematic, assertive, analytical, possess strong problem solving skills, good oral communication, written and interpersonal skills
  • Able to work under tight timelines and work over time whenever necessary.
  • Proficient in Microsoft Office applications
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