Responsibilities:
- Oversee subsidiaries’ accounts and supervision of junior staff
- Manage day-to-day accounting and finance operations of the Group
- Handle full set of holding company’s accounts and ensure timely closing
- Responsible for the preparation of Group consolidation
- Review and analyse monthly financial & operational performance of the Group for monthly management meetings
- Liaise with the external auditor, preparing Group annual statutory financial statements and XBRL filing
- Assist in the preparation of SGX announcements or any SGX related matters
- Maintain and forecast weekly cashflow
- Participation in the annual budgetary exercise
- Drafting of tax computations and liaising with tax agents for the completion of submission of corporate tax matters
- Ensure compliance with Group’s transaction approval policies
- Preparation and submission of quarterly GST filing with IRAS
- Liaise with the bank on banking and treasury matters
- Liaise with the company secretary on board resolution matters
- Identify areas for improvement to strengthen control and governance to ensure all policies, workflows and processes comply with internal control best practices to reduce errors and enhance process efficiencies
- Other ad-hoc matters, project works, and other duties as may be assigned
Requirements:
- Minimum 5 years of experience
- Degree/ACCA qualified
- Technically sound with strong working knowledge of accounting standards
- Proactive, meticulous, excellent communication skills with a positive work attitude
- Proficient in MS Office with strong Excel and PowerPoint skills
- Familiar with Microsoft Dynamic Navision System is an advantage
- Ability to work effectively under pressure and deadlines