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Jobs in Singapore   »   Jobs in Singapore   »   Financial Accountant
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Financial Accountant

Spd Scientific Pte Ltd

Join Biomedia Holdings and Shape the Future of Science and Technology!


At Biomedia Holdings, we are a leading group of companies based in Singapore, specializing in microbiology and molecular diagnostics (infectious diseases), cancer diagnostics and therapeutics, radiation safety and research, and surgical devices (primarily in women’s health and orthopedics). We serve customers primarily in the Healthcare, Research, and Food & Pharmaceuticals industries. Our expertise lies in the marketing and distribution of point-of-care solutions, high-tech equipment, and consumables essential for laboratories and hospitals.

With a strong presence across the ASEAN region, Biomedia Holdings is poised for significant growth and expansion. We are continually venturing into cutting-edge technologies to enhance the capabilities of our industry and provide treatment possibilities that improve the lives of communities.


We are seeking strategic, resilient, and adaptable individuals who thrive in a dynamic and fast-paced work environment, both locally and regionally, to join our team and contribute to our ambitious expansion plans.


Be part of our journey to empower the sciences and positively impact lives in our community. Apply now and help us elevate Biomedia Holdings to new heights.


As an Accountant, you will play a key role in managing the financial and statutory reporting function. You will be responsible for ensuring timely monthly closing and financial reporting and ensuring financial compliance. This position requires a strong understanding of accounting, with excellent accounting operations knowledge, value optimization (improvements) skillset, good problem-solving capabilities, and the ability to work collaboratively with various stakeholders.


Responsibilities:

  • Manage in preparation of full set of accounts
  • Perform accounting operational duty such as preparation of journals and reconciliation of general ledger to support monthly ledger closing and reporting schedules
  • Prepare financial statements and monthly management report with compliance to accounting standards (IFRS, SRFS) & company policies
  • Manage cash flow and banking facilities including assisting in preparation of projections
  • Liaise with auditors, tax agents, company secretary, insurance, banks and other statutory bodies/authorities on internal and external audit mattes, and all statutory and tax/GST tax requirement compliances
  • Verify staff claims & petty cash
  • Verify receipts posting and issue payment
  • Review and monitor day to day activities related to credit and collections and payments
  • Review internal control and system gaps and providing workable solutions for the business and its operations
  • Undertake any ad-hoc assignments as when required for the management team

Pre-requisites:

  • Degree in Accounting or professional certificate such as ACCA, CPA or equivalent
  • Preferably 6 to 8 years relevant experience (preferably in trading & distribution)
  • Prior experience in trading and distribution companies
  • Good hands-on application of ERP systems (MS Navision)
  • Full set of accounts experience and good understanding of local accounting standards
  • Good command of English, both written and spoken
  • Strong interpersonal and communication skills (both written and verbal)
  • A team leader and team worker mind-set
  • Good proficiency in MS Excel (pivot, v-lookup is A MUST) and MS PowerPoint
  • Good analytical skills with strong problem-solving skills
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