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Process inter-company transactions, commissions, vendor invoices, and staff expense claims
Ensure proper documentation, approvals, and accurate general ledger coding
Maintain AP records and support vendor reconciliations
Assist with payment run preparation and bank file uploads
Execute daily cash transfers to ensure adequate liquidity for trade settlements
Oversee daily payment activities
Perform daily and monthly bank reconciliations
Prepare journal entries and support month-end closing
Assist in preparing schedules and account reconciliations
Produce financial reports and variance analyses
Maintain documentation and ensure compliance with accounting policies
Support Team Lead with recurring management reporting
Contribute to the design and development of the financial accounting hub for the new trading platform
Develop accounting and operational processes to enable platform implementation
Support internal and external audits
Prepare data for GST and corporate tax filings
Compile information for statutory reporting
Participate in process improvement and automation initiatives
Perform other ad-hoc finance tasks as required
Provide guidance to junior team members
3-5 years of experience in accounting, finance, or business administration progress toward CA/CPA is an advantage
Relevant degree or diploma in accounting or finance
Strong attention to detail, good organizational skills, and ability to work independently
Growth mindset and commitment to continuous learning
Interest in the financial advisory and investment industry
Thanks, and Best Regards
Lini
Recruitment Consultant
R22108463
Job ID: 147360763
Skills:
GST and Corporate Tax Filings, Month-End Closing Reporting, Automation Initiatives, Cash Management, Process Improvement, Accounts Payable
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