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. Oversee the full spectrum of accounting functions, including General Ledger (GL), Accounts Payable (AP), Accounts Receivable (AR), Fixed Assets, Inventory, Cash Management, and Intercompany Accounting.
. Lead the monthly, quarterly, and annual financial closing process, ensuring timely and accurate reporting.
. Prepare and review statutory financial statements in accordance with Singapore Financial Reporting Standards (SFRS).
. Ensure accounting records are complete, accurate, and comply with Group accounting policies.
. Review journal entries, balance sheet reconciliations, and supporting schedules.
. Prepare monthly management reports and financial schedules for management review.
. Perform analytical reviews of financial results and investigate significant variances.
. Ensure appropriate accounting treatment for complex transactions, including revenue recognition, leases, provisions, impairment assessments, foreign currency transactions, and other technical accounting matters.
. Ensure compliance with:
o Singapore Financial Reporting Standards (SFRS)
o Singapore Companies Act
o IRAS regulations
o Goods and Services Tax (GST) legislation
o Other applicable statutory and regulatory requirements
. Review GST returns and ensure timely submission.
. Coordinate annual statutory audits and manage relationships with external auditors.
. Liaise with corporate secretaries, tax agents, bankers, and regulatory authorities.
. Ensure timely completion of annual reports, statutory financial statements, and all regulatory filings.
. Coordinate the preparation of corporate income tax computations, Estimated Chargeable Income (ECI), and annual tax filings.
. Support transfer pricing compliance, including preparation and maintenance of transfer pricing documentation.
. Work with external tax advisors on tax planning, tax audits, and regulatory matters.
. Monitor tax regulatory changes and ensure ongoing compliance.
. Oversee cash management activities and monitor liquidity.
. Review cash flow forecasts and working capital requirements.
. Review bank reconciliations and ensure proper management of banking transactions.
. Manage banking relationships and support financing activities where required.
. Support the preparation and review of consolidated financial statements for SG sub-group.
. Manage intercompany reconciliations and ensure timely settlement of intercompany balances.
. Prepare and review consolidation adjustments, and elimination entries where applicable.
. Establish, review, and strengthen internal controls over financial reporting.
. Ensure compliance with Group accounting policies, approval matrices, and delegated authority limits.
. Develop, implement, and maintain accounting policies, finance procedures, and standard operating procedures.
. Identify financial reporting risks and recommend appropriate control improvements.
. Ensure compliance with internal governance frameworks and corporate policies.
. Lead, mentor, and develop the accounting team to build a high-performing finance function.
. Allocate responsibilities and manage team workload to ensure timely completion of deliverables.
. Review team outputs to ensure accuracy, quality, and compliance.
. Conduct performance reviews and identify training and development opportunities.
. Foster a culture of accountability, collaboration, continuous learning, and operational excellence.
Job ID: 152497851
Skills:
Microsoft Office, Microsoft Excel, Cash Flow Management, Sap Erp, statutory compliance, financial reporting, Forecasting, Sap Fi Co, Taxation, budgeting
Skills:
Banking matters, Forecasting, Financial Planning, Product margin analysis, Finance Accounting, Variance Analysis, Management Reporting, Fixed Asset Management, Bank Reconciliations, Budgeting, Month-end and year-end closing, Cost Optimization, Gst Returns, Intercompany transactions, Standard costing
Skills:
account administration , Treasury Operations, portfolio administration, Cash Management, financial reporting, Bank Reconciliations, reporting databases, payment instructions, Process Improvements
Skills:
Working Capital Management, analytical capabilities, commercial insights, financial risk concepts, Performance Tracking, financial analysis, Financial Modelling, Forecasting, budgeting
Skills:
Treasury cash management, Tax Compliance, Cashflow forecasting, Corporate finance