Timely closing of accounts and preparation of consolidation schedules
Prepare financial schedules and statutory accounts
Prepare month-end journals in accordance with established processes, work procedures and local legal and statutory requirements
Prepare quarterly GST reports, collation of interested/related parties transactions, sponsorship and donation reports
Perform reconciliation of monthly audit schedules, inter-company and bank transactions
Handle settlement to fixed assets and maintain fixed asset registers for assigned Companies and Cost Centre groups
Prepare financial statements in XBRL format
Support external and internal audit, tax reporting and other statutory requirements
Provide day-to-day operations funding requirements (shortfall/surplus)
Liaise and work closely with Finance Shared Services Centre, other finance functions and line of businesses
Participate in process improvement projects
Ad-hoc tasks assigned by supervisor
JOB REQUIREMENTS
Job Requirements
Diploma in Accounting or Business/Finance or equivalent
Minimum 2 to 3 years of relevant working experience
Strong accounting knowledge and application of Singapore Financial Reporting Standards (International)
Displays positive attitude, team player, meticulous and the ability to multi-task and work under tight timelines
Able to work independently and possess good communication skills
Proficient in MS Office applications
Knowledge of SAP S4, OneStream, and ticketing tools would be advantageous
Must be able and willing to accept intra-department or inter-division transfers/job rotations, and henceforth changes in work scope and responsibilities