[Job ID: 1599941]
Responsibilities
- Manage monthly and yearly financial closing, including full general ledger reconciliations
- Prepare monthly and quarterly financial statements with variance analysis (excluding sales and inventory)
- Monitor and update cash flow, receivables ageing, and follow up on collections
- Maintain fixed asset registers and supporting financial schedules
- Reconcile inter-company accounts across entities on a monthly basis
- Review payments, journal entries, and GST returns support annual tax filings
- Ensure compliance with group policies, statutory requirements, and audit standards
- Coordinate and respond to half-yearly and annual audits across entities
- Consolidate monthly results and forecasts at group level
- Prepare manual financial statements and manage corporate documentation with banks and company secretary
- Monitor business performance and report financial insights to management
- Coordinate monthly budget and business review meetings
- Develop business plans and support management through financial analysis and proposals
- Perform other ad-hoc duties as assigned
Requirements
- Minimum 7 years of relevant experience
- Strong working knowledge of financial reporting, consolidation, and audit processes
- Proficient in Microsoft Word and Excel
- Knowledge of SAP is an added advantage
- Strong written and verbal communication skills
- Demonstrated negotiation skills
To Apply, please kindly email your updated resume to
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EA Personnel Name: Gary Ho Cheng Xuan
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