Roles & Responsibilities
We are seeking an energetic individual who enjoys working with numbers and able to take on rotating portfolio to join US.
Job Description
- Ensure preparation of timely and accurate monthly, quarterly, and financial year management accounts
- Prepare and maintain full sets of financial reports
- Monitor and analyse monthly results / variances and perform financial review to Finance Manager
- Oversees cash flow planning to optimize income and expenses
- Collaborate with internal stakeholders on yearly budgeting and forecasting and perform variance analysis
- Handle quarterly GST preparation, ECI, Tax Computation
- Coordinate and liaise with external parties like external auditors, tax agents, corporate secretarial agents, where required
- Manage the board paper production process effectively, ensuring that papers are sent to Directors in a timely manner
- Responsible for the arrangements of board meetings / AGM and taking minutes
- Supervise and provide guidance to accounting staffs on all accounting related matters
- Perform other duties, ad hoc assignments and projects as assigned
Requirements
Minimum Degree in Finance / Accounting or other professional Accountancy qualificationMinimum 5 years of relevant working experience in finance & accountingTeam player, good interpersonal skills, keen to learn and possess positive attitudeAble to work independently, hands-on, meticulous with strong accounting knowledge, analytical and the ability to work under pressure to meet timelinesGood writing and communication skillsWell-versed in MS Office, especially MS Excel, PowerPoint and WordExperienced in handling external auditors, tax agents and relevant authoritiesTell employers what skills you have
Forecasting
Microsoft Excel
Interpersonal Skills
Tax
Variance Analysis
MS Office
PowerPoint
Accounting
Budgeting
Team Player
Cash Flow
Able To Work Independently
Hospitality