The Job:
- Prepare all aspects of monthly and quarterly account closing, including preparation of journal entries, consolidation of various entities, preparation of bank and balance sheet reconciliations.
- Manage all activities in account payable/ receivable function.
- Support Business head to manage monthly, quarterly, annual financial performance, budgeting, forecasting, and reporting.
- Prepare finance updates for investor, including preparation of key flux analysis and computation of entities performance returns.
- Monitor fund cashflows including recommendation for capital calls and fund distributions, and forecasting of cashflow and budget financial results
- Financial Modelling
The Requirements:
- Min Degree with 4-5 years of relevant working experience
- Proficient in MS Office
Interested applicants can send their detailed resumes to [email protected] or call JANE @ 6735 1955.
CEI: R1104482
JANE LUI JIE'EN