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Roles & responsibilities
. Oversees a team of 2 staffs and manage daily transactions, process invoices/payments, handle accounts payable/receivable, and reconcile bank accounts
. Prepare and analyse monthly, quarterly, and annual financial statements and reports for management
. Monitor & manage cash flow, advise on capital expenditures and manage banking relationships
. Assist in monthly stock take exercise, identify stock discrepancies and reconciliation of stock report
. Collaborate with management, auditor, tax agent, corporate secretary and financial institutions to ensure compliance to statutory regulations (Audit, Tax, Annual Return filing etc)
. Develops, implements, and monitors financial control systems, ensuring compliance, efficiency, and safeguarding assets by designing policies and improving workflow and processes
. Lead and develop the finance team, fostering collaboration and teamwork
Qualifications & Requirements
. Bachelor's degree/professional qualification in finance, accounting, or a related field, preferably a CA Singapore
. Strong analytical and problem-solving skills, with attention to detail and accuracy
. Excellent leadership, communication, and presentation abilities
. Proficient in Microsoft Excel, accounting software (SAP) and accounting principles (FRS)
Job ID: 148705441
Skills:
Microsoft Excel, Accounting, ERP systems, Financial Reporting, IFRS
Skills:
Ms Excel, Accounting Principles, Management systems, Accounting Software, Audit experience
Skills:
Accounting Software
Skills:
SAP, Business Review Presentation, Variance Gap Analysis
Skills:
Microsoft Excel, Accountancy, ACCA qualification
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