We are seeking an experienced Accountant with expertise in full-cycle accounting and financial reporting, including skills in financial analysis and intercompany reconciliations.
This role will be supporting day-to-day accounting matters and reports directly to the Director.
A summary of the key responsibilities and requirements are as follows:
Responsibilities
· Ensure timely, accurate month-end closing and financial reporting to management (duties include bank reconciliation, AR/AP management, monthly accruals, etc.)
· Maintain and reconcile balance sheet schedules on a monthly basis.
· Prepare cash flow forecast, bank reconciliation and cash monitoring.
· Perform day-to-day bookkeeping functions and financial transactions.
· Assist management in budget preparation and financial forecasting.
· Reconcile intercompany transactions and maintain intercompany schedules.
· File regulatory returns to authorities including GST.
· Coordinate and liaise with external parties like external auditors, tax agents, corporate secretarial agents, local tax and government authorities where required.
· Undertake ad hoc projects and tasks as required by management.
· Review, design, implement and update effective internal control systems and financial procedures and processes.
Requirements
· Diploma/Bachelor's degree in Accounting / Finance, ACCA, or a related field
· At least 5-10 years of hands-on experience in handling a full set of accounts, preferably in SME environment or/ and accounting firms, with a strong understanding of accounting principles and practices
· Proficiency in accounting software and Microsoft Office
· Experience in SAP B1 is a plus
· Excellent analytical and problem-solving skills, with a keen attention to detail
· Independent, self-motivated and able to work effectively under pressure