If you are passionate about numbers, and thrive in a dynamic environment, we want to hear from you! Embrace this opportunity to advance your career and make a significant impact with us!
Responsibilities:
- Oversee and supervise the finance team to ensure accurate and timely completion of routine activities.
- Review and prepare payments for the Group.
- Manage daily cash and treasury functions for the companies.
- Prepare and analyze monthly financial and management reports for various entities.
- Review Gross Profit (GP) margin and Cost of Sales (COS), investigating any discrepancies.
- Review bank and petty cash reconciliations for all companies.
- Prepare and submit GST returns.
- Collaborate with internal and external auditors to coordinate auditing services.
- Prepare financial statements for entities.
- Ensure timely year-end closing and preparation of financial reports.
- Liaise with tax consultants on tax queries and assist in the preparation of Estimated Chargeable Income (ECI) and income tax returns.
- Handle inquiries from IRAS regarding tax and GST matters.
- Lead and support ad-hoc projects as directed by management.
Requirements:
- Diploma or Degree in Accounting or a related field
- Minimum 3-5 years of relevant accounting experience
- Proficient in Microsoft Office applications
- Meticulous with a positive attitude, able to work with minimal supervision
- Experience in the retail industry or knowledge of SAP is advantageous
- Strong communication and interpersonal skills
- Willingness to work overtime as needed