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Showing 10 jobs
Skills:
Financial restructuring, Forecasting, Finance policies and practices, Tax Compliance, Reporting, Financial guidance for investment strategies, corporate transactions, Accounting policies and internal controls, Budgeting, Capital funding, Financial regulatory compliance in Singapore, Cash Management, Treasury activities
Skills:
Singapore Financial Reporting Standards (SFRS), Microsoft Excel, Erp Software, Forecasting, Financial analysis, Financial Planning, Jet Reports, Accounting Systems, Cash Flow Management, Microsoft Dynamics 365 Business Central, Budgeting, Financial reporting
Skills:
Valuation, Investment appraisal, Financial Modelling, Group consolidation, Treasury Management, scenario planning, debt structuring, Financial assessments, Financial due diligence, Project Financing, banking relationships, Sensitivity analyses
Skills:
Excel, Internal Controls, statutory compliance, financial reporting, Financial Modelling, ERP systems, budgeting, cash-flow management
Skills:
Internal Controls, Due Diligence, financial analysis, Forecasting, Strategic Planning, budgeting, accounting policies, treasury activities, Compliance, financial insights, financial evaluation, banking relationships, financial management, foreign exchange exposure, Tax Planning
Skills:
Percentage-of-completion (POC) method, revenue recognition, SFRS I 15, Financial policies and procedures, IFRS 15, General Ledger, Internal Controls, Statutory Reporting, Contract accounting, Financial Operations
Skills:
Enterprise Resource Planning (ERP) system, Microsoft Excel, Statutory audit processes, Regulatory Requirements, Financial reporting standards
Skills:
balance sheet review , SAP, Microsoft Excel, Automation Tools, Powerpoint, SAP S/4HANA, Microsoft Office Applications, Month-end close, Accounting Standards, Tax and regulatory requirements, Internal control compliance, Financial reporting, Audit Support, Statutory audit
Skills:
tax filings , NAV preparation, Compliance, investor reporting, Capital calls, Statutory Audits, Management Reporting, distributions, Fund Accounting, Cash Flow Forecasting, Budgeting, Financial reporting, Valuation support, Investor allocations
Skills:
Microsoft Excel, Budgeting And Forecasting, Corporate tax processes, Accounting Systems, Cash Flow Management, GST compliance, Audit Coordination
