Responsibilities:
- Responsible for the full set of accounts which include generating financial reports for statutory submission, bank reconciliation and fixed assets register, invoicing, general ledger, payable and receivable accounts.
- Prepare monthly group consolidation
- Review overseas monthly financial report and liaising with overseas counterparts including China
- Prepare annual budget, forecast and its consolidation
- Ensure that all bank and its related matters are diligently and duly attended
- Liaise with auditors, tax agents, corporate secretary and government departments
- Prepare quarterly GST reporting and corporate tax computation
- Familiar with Financial Reporting Standard (FRS 116)
- Ad-hoc tasks/projects as assigned from time to time
Requirements:
- Possess minimum Degree in Accountancy or ACCA professional qualification
- Minimum 5 years of accounting experience with full set of accounts and group consolidation
- Computer literate and proficient in MS Office (Words, Excel, etc)
- Has initiative and able to work independently with minimal supervision
- Team player with good communication and interpersonal skills
- Ability to work within tight deadlines with a strong sense of responsibility
- Resilient, possess problem solving and strong analytical skills
- Meticulous, attention to details is a must
- Singaporeans or PR