Key Responsibilities:
- Responsible for the Bank’s financial closing and reporting, in accordance with Singapore Financial Reporting Standards and MAS regulatory requirements
- Monitor and analyze financial transaction data and check for compliance
- Prepare monthly, quarterly and annual financial statements and check monthly bank reconciliation report
- Develop and prepare monthly management report for management team including for Head Office
- Prepare annual reports and liaise with external auditors on audit and financial statement preparation
- Monitoring, analyzing and prepare reporting of financial ratios including earnings, net interest margin and etc.
- Prepare monthly/yearly forecasts / projections to management team
- Responsible for preparation/review of MAS regulatory returns (e.g MAS Notice 1003, prudential ratios etc) for reporting to the MAS.
- Manage and periodically update the Bank’s accounting policies
- Liaise with tax agents on tax related matters (eg Estimated Chargeable Income computation, GST filings, international tax etc)
- Oversee and work with consultants on Bank accounting / reporting system.
- Prepare budgeting and oversee annual budget items.
Key Requirements:
- Degree in Accounting, Finance or related field
- Proven 7-10 years of experience in finance operations, reporting and compliance in banking industry
- Advanced knowledge of MS Excel
- Knowledge of accounting standards, regulations (e.g IFRS, SFRS) and tax
- Excellent communication skills and analytic mindset
- Familiarity with Microsoft Dynamiscs / Vermeg system would be an advantage
- CA (Singapore) or its equivalent would be an advantage
Essential Skills:
- Strong verbal and written English communication skills
- A self-starter who can plan, organize and take initiative to meet job objectives and deadlines independently
- Ability to manage multiple deadlines and work in a fast-paced environment