The Role
This position will be responsible for the Accounting function and liaison with the onshore finance team.
Job Responsibilities
- Responsible for the full set of the Accounts and General Ledger (GL) functions for the investment holding companies.
- Issue intercompany billings and perform intercompany balance reconciliation.
- Prepare monthly bank reconciliation and quarterly audit schedule, related parties transactions.
- Liaise with the overseas finance teams for the management reports submission and analysis.
- Assist in year-end audit matters.
- Assist in the budgeting and forecasting exercises.
- Assist in the tax computation.
- Other duties such as companies creation and module testing in SAP.
- Ad-hoc assignments when required.
Job Requirements
Qualified accountant with a Degree in Accounting or its equivalent in Finance / Economics.Minimum 2 years of relevant experience in accounting, preferably in real estate industry.Well-versed in SFRS, Companies Act and other accounting regulatory requirements.Proficient in MS Office particularly MS Excel.Experience with SAP, Blackline, Kyriba and / or real estate knowledge will have an added advantage.Meticulous, analytical independent, a good team player and possess good communication skills as well as the ability to deliver quality work within stipulated timeline.