Ensure accuracy of financial accounts in compliance with Singapore Financial Reporting Standards (FRSs)
Manage month-end and year-end closing processes, including preparation of management reports, financial statements, cash flow analysis, budgets, and variance analysis
Prepare year-end financial statements and supporting schedules for audits and regulatory submissions
Oversee accounts payable, accounts receivable, general ledger, fixed assets, and intercompany transactions
Monitor cash flow, petty cash, and prepare monthly cash flow forecasts with recommendations to management
Prepare, monitor, and control departmental and company budgets assist in budget consolidation
Prepare and submit monthly GST reports in compliance with local tax regulations
Handle Letters of Credit (L/C) and Trust Receipt (TR) applications where applicable
Establish and maintain financial policies, internal controls, and compliance frameworks
Liaise with outsourced accounting service providers, external auditors, and stakeholders
Perform any other duties and responsibilities as assigned
Requirements
Bachelor's degree in accounting, Finance, or related discipline
Minimum 3-5 years of relevant experience, preferably in a similar role
Independent, hands-on, and able to work with minimal supervision
Strong knowledge of accounting standards, tax regulations, and financial reporting
Experience and proficiency in Xero or similar accounting software
Good analytical, problem-solving, and organizational skills