Prepare accurate and timely management
reporting pack and disclosure notes and review the reporting packs
of all subsidiaries prepared by the respective
executives.
Review journal entries and
allocations prepared by the respective executives.
Prepare treasury and capital account entries by compiling
and analyzing account information
Reconcile
accounts and provide analysis for the organization's financial
transactions
Participate in budgeting and
forecasting activities
Oversees the fixed
assets management, ensuring timely capitalization of fixed assets
& depreciation calculation is accurate, timely recording of
transfers & disposals.
Cashflow
managements and ensuring idle cash are put to good use as well as
ensuring banker's guarantee are renewed on time.
Administrator for Netsuite system and ensuring that all
functions are working efficiently.
Extract
data and provide analysis for management using relevant accounting
information systems or software
Prepare
consolidated financial statements, business activity reports and
forecasts for management and external stakeholders
Ensure the organization complies with regulations
involving the filing of financial and tax statements including GST
returns.
Liaise with external Auditors and Tax
specialists
Experience
Required
relevant work experience in accounting
Supervisory
experience
Qualification
Degree in Accounting or equivalent
Accountant • Singapore