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Accounting Manager

7-9 Years
SGD 5,500 - 6,500 per month
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  • Posted 14 days ago
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Job Description

We are seeking a hands-on Finance Manager to lead the full spectrum of financial operations for our distribution business. The successful candidate will oversee accounting, reporting, treasury, tax, and compliance functions - ensuring financial integrity, working-capital efficiency, and strong governance across all processes.

Key Responsibilities

1. Financial Operations & Working Capital Management

. Manage and oversee day-to-day finance operations, including:

o Accounts Receivable, billing, collections, and credit control.

o Accounts Payable and vendor management.

o Inventory and cost accounting, stock valuation, and variance analysis.

o Revenue recognition, sales reconciliation, and margin analysis.

o Cash management, treasury operations, and weekly cash flow forecasting.

. Monitor and optimise working capital (DSO, DPO, inventory days).

. Review rebates, discounts, and credit terms to enhance liquidity.

. Lead month-end closing process and ensure timely, accurate financial results.

2. Financial Reporting, Analysis & Control

. Prepare and review monthly management accounts, P&L, balance sheet, and cash flow statements.

. Perform balance sheet reconciliations and reviews to ensure accuracy and completeness.

. Analyse financial performance, variances, and profitability by product, customer, or region.

. Develop and maintain internal controls, accounting policies, and standard operating procedures.

. Support budgeting and forecasting processes, providing insights for business decisions.

3. Statutory Reporting, Tax & Compliance

. Oversee preparation of statutory financial statements in accordance with local GAAP/IFRS.

. Manage annual external audit, liaising with auditors and ensuring timely completion.

. Handle tax compliance (GST, corporate income tax, withholding tax) and liaise with tax advisors.

. Ensure proper documentation and compliance with government and regulatory requirements.

. Maintain governance and internal control framework across all accounting processes.

4. Treasury, Banking & Risk Management

. Manage cash flow, banking facilities, and relationships with financial institutions.

. Prepare rolling cash forecasts and liquidity plans to support business operations.

. Monitor foreign exchange exposures, financing costs, and bank charges.

. Support management in evaluating investment, funding, and capital expenditure decisions.

5. Leadership & Continuous Improvement

. Supervise and develop accounting staff, fostering accuracy, efficiency, and accountability.

. Review systems and workflows to enhance automation and process efficiency.

. Provide financial guidance to management and support cross-functional initiatives.

. Drive continuous improvement in reporting quality, controls, and business insights.

Requirements

. Degree/Diploma in Accounting/Finance CPA/CA preferred

. Minimum 7 years of relevant experience, including supervisory or managerial experience.

. Solid knowledge of accounting standards, taxation, and statutory requirements.

. Strong analytical, leadership, and communication skills.

. High attention to detail, integrity, and ability to meet deadlines in a fast-paced environment.

More Info

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Job ID: 134138163

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