Job Descriptions
- Handle full spectrum of finance and accounts activities such as Accounts Receivable (AR) & Accounts Payable (AP), General ledger (GL) entries
- Perform monthly bank reconciliation
- Process of inter-companies billing and facilitate reconciliation of inter-companies balances
- Prepare monthly Balance Sheet & P&L & Cash Flow Statement schedule and reconciliation
- Handle quarterly GST return
- Support semi-annual fixed asset sighting and allocation of tag number from time to time
- Lead in corporate tax matters.
- Liaise with external auditors, bankers, tax agents and relevant government authorities
- Handle all bank related matters and annual audit exercise
- Lead in month-end closing process.
- Calculating exchange gain & loss
- Liaise with HQ Finance on accounting matters
- Prepare monthly financial reports to HQ
- Manage financial planning, forecasting, budgeting & management reporting process
- Standard cost & product margin setup and analysis
- Perform analysis on the financial performance & variances provide insightful commentaries
- Partnering with stakeholders to drive profitability and cost saving
- Manage Precious Metal (PM) transactions including Refining and PM Gain/Loss
- Overall responsibility for CAPEX projects
- COO cost statement application, renewal & update
- Costing closing
- Assume any other suitable duties as and when assigned by the Company
HOW TO APPLY:
Interested applicants, kindly send your resume in MS WORD format to [Confidential Information] or please click on Apply Now.
We regret only shortlisted candidates will be notified.
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Trust Recruit Pte Ltd
EA License No: 19C9950
EA Personnel: Chong Carmen
EA Personnel Reg No: R26162663