

Search by job, company or skills
- Manage full sets of corporate accounts in multicurrency with consolidation experience
- Preparation of monthly management and financial reports in compliance with FRS
- Assisting the Finance Director and Finance Manager in all accounting and finance aspects of the Company., e.g. financial analysis, budgetary control, corporate tax computation, cash flow management and etc.
- Prepare balance sheet schedules to ensure proper record and tracking of company's assets and liabilities
- Be responsible for year-end schedules for audit and tax purposes
- Assist in the development and implementation of reporting and finance processes
- Execute ad-hoc requests from Management
- Proven ability to independently exercise sound judgment and take initiative
- Strong ability to prioritize & multi-task
-Capable of building strong relationships with other individuals and departments in order to accomplish tasks and achieve goals
- Respect for confidentiality and ability to properly handle sensitive information is a must
- Ability to confidently interface with executive-level contacts inside and outside the company
- Strong ability to prioritize & multi-task
- Capable of building strong relationships with other individuals and departments in order to accomplish tasks and achieve goals
Job Requirement
Education: A Bachelor's Degree or higher in Finance, Accounting, or a related fields
Experience: A min of 5-7 years of experience in a finance role, with a proven track records. Preferable from audit experience
Skill: Strong analytical and problem-solving skills, excellent communication abilities and proficiency in Microsoft Office Suite (Word, Excel, PowerPoint) and ERP software like NetSuite Oracle
Job ID: 151025761
Skills:
Microsoft Excel, revenue recognition, ERP accounting systems, Financial Controls, financial reporting, WIP management, Client Billing, account reconciliations, compliance requirements
Skills:
External Audit, Property tax schedules, Payments, Invoices, Management Reporting, AP AR matters, Billings, Fixed asset registers, Gst Returns, Full sets of accounts, GL entries, Month-end schedules, Accruals, Loan-related schedules, Deferred tax computations, Bank Reconciliations, Tenant recoveries, Financial Statements, Cash Flow Management, Excel skills, Receipts, Budget vs actual variance analysis, Provisions, Fixed deposits
Skills:
Microsoft Excel, Full sets of accounts, Accounting ERP systems, Month-end closing, Singapore GST, Corporate Tax, XBRL requirements
Skills:
Microsoft Excel, ERP or accounting systems
Skills:
income tax reporting, bank payment integrations, IRAS vendor integration, Oracle NetSuite