Roles & Responsibilities
- Job stability and hybrid work arrangement
- With AWS and Variable Bonus
About Our Client
Our client is a government linked company that specializes in office administrative services with a strong team of around 400 headcount. They play a vital role within the healthcare industry, a trusted partner providing superior value-added finance services to the healthcare industry.
Job Description
Handle day-to-day financial matters, month-end and year-end accounts closing (such as assessing the adequacy of accruals / provisions), and preparation of the monthly and year-end audit schedules and financial reporting packagesLiaise with various departments in the collection of information and documentsProcess internal charge and reclassification requestsProcess miscellaneous receipts and follow up on unaccounted sumsIdentify and perform clearing for offsetting transactions for balance sheet accountsPrepare bank reconciliation and resolve reconciling itemsInvestigate and resolve user's queriesPrepare GST and other statistical submissionsAssist on corporate tax, internal and external audit mattersParticipate in process improvement projectsHandle any other ad hoc duties assigned by the supervisorThe Successful Applicant
Diploma in Accounting, Finance, or related fieldAt least 2 years of relevant experienceStrong attention to detail and accuracyAbility to handle confidential information with discretionWhat's on Offer
13-month salary package plus variable bonusPermanent position with long-term career prospects and job stabilityOpportunity to work in a structured and supportive environmentSupportive workplace culture© Michael Page International Pte Limited, company number 199804751N (including Page Executive (53295516A) and Page Personnel Recruitment Pte Ltd (Registration Number : 201736642C)) operates under the EA Licence Numbers of 18S9099 and 18C9065.
Tell employers what skills you have
Healthcare Industry
Accounts Payable
Microsoft Office
External Audit
Microsoft Excel
Strong Attention To Detail
Assessing
Process Improvement
Tax
Corporate Tax
Bank Reconciliation
SAP
Accounting
Cash Flow
Audit
Financial Reporting