Job Description & Requirements
- Manage complete sets of Financial Statements (Balance Sheet, Profit & Loss, and Cash Flows) for individual and consolidated entities.
- Conduct Monthly Financial Reporting, budgeting, forecasting, and analysis.
- Supervise month-end closing of general ledger and sub-ledgers (AR, AP, Fixed Assets, Bank Reconciliation, Inventory, etc.) and perform necessary reconciliations.
- Collaborate with tax consultants for annual corporate tax computation, ECI, and handle tax inquiries from IRAS.
- Preparing unaudited financial statement in compliance with Singapore Financial Reporting Standards.
- Manage filings and interactions with statutory bodies like ACRA.
- Review quarterly GST and monthly withholding tax submissions.
- Support corporate secretarial matters.
- Able to work independently, multi-task, work under pressure, positive attitude and self-motivated.
- Performing additional ad-hoc work assigned.
Requirements
- At least 4 year(s) of working experience in commercial firm
- Proficient in MS Office,Quickbook Desktop and XERO accounting software
- Meticulous, Independent and Highly driven individual who is willing to learn and passionate about the job
- Team player and good working attitude
- Good communication and interpersonal skills
- Comfortable working in a fast-paced environment