Roles & Responsibilities
Job Description & Requirements
- Manage complete sets of Financial Statements (Balance Sheet, Profit & Loss, and Cash Flows) for individual and consolidated group of entities.
- Conduct Monthly Financial Reporting, budgeting, forecasting, and analysis.
- Supervise month-end closing of general ledger and sub-ledgers (AR, AP, Fixed Assets, Bank Reconciliation, Inventory, etc.) and perform necessary reconciliations.
- Experienced in annual corporate tax computation, ECI, and handle tax inquiries from IRAS.
- Preparing unaudited financial statement in compliance with the latest Singapore Financial Reporting Standards.
- Processing of staff claims and reimbursements, payroll.
- Register and submit quarterly GST submissions.
- Able to work independently, multi-task, work under pressure, positive attitude and self-motivated.
- Performing additional ad-hoc work assigned.
Requirements
At least 10 years of working experience in commercial or professional services firm.Possess an accounting degree, or professional accreditation (E.g ACCA, CA, CPA) with ISCA or certificate is preferred.Proficient in MS Office, Quickbook Desktop, Xero, accounting and Infotech HR softwares.Meticulous, Independent, Responsible and Highly driven individual who is willing to learn and passionate about the job.Team player and good working attitude.Good communication and interpersonal skills.Comfortable working in a fast-paced environment.Tell employers what skills you have
Account Management
Forecasting
Accounts Payable
Microsoft Office
IRAs
Interpersonal Skills
Tax
ACCA
Corporate Tax
Payroll
Bank Reconciliation
General Ledger
Accounting
Compliance
Financial Statements
Xero
Tax Computation
Budgeting
Able To Work Independently
Financial Reporting