Singaporean and/or PR
Able to speak both English and Mandarin (to liaise with mandarin clients)
Handling full-set of accounts including AP/AR.
Prepare invoices, debit and credit notes for customers
Prepare payment and petty cash
Ensure accurate and timely monthly closing of ledger systems
Preparation of GST report/ monthly management reporting/ bank reconciliation and journal entries
Liaise with operations on accounting-related matters
Manage cash flow and treasury function
Implement/review and improve internal control
Ensure compliance with group accounting policies and SFRS/IFRS
Ensure compliance with all aspects of statutory, tax, and regulatory requirements for the group of companies in a timely manner
Liaise with banks, external auditors, tax consultants, and corporate secretarial agent
Ensure that all financial reporting obligations are met in relation to government grant claims
Any other ad-hoc finance duties assigned