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Job Responsibilities
Handle daily accounting operations, including collection, review, organization, and filing of income and expense vouchers
Liaise with banks, tax authorities (IRAS), corporate secretarial firms, and outsourced accounting firms for bank account maintenance, tax filings, and statutory audits
Manage company cash flow, including cash receipts/payments, bank reconciliations, and financial risk monitoring
Assist China headquarters with cross-border financial reporting and audit support
Supervise daily cashiering operations and cash handling at retail outlets
Reconcile daily store revenue and ensure consistency between accounts and actual cash
Prepare and submit financial management reports to China HQ finance center and company management
Report financial irregularities at outlets and propose process improvements
Perform other finance-related duties assigned by China headquarters.
Job Requirements
Bachelor's degree or above in Accounting, Finance, or related disciplines
At least 3 years of relevant finance experience, covering both accounting and cashiering functions experience with Singapore local tax and statutory practices is preferred
Proficient in accounting software (e.g. SAP or other accounting systems commonly used by SMEs in Singapore) and Microsoft Office
Fluent in Mandarin basic reading and writing ability in English is required (to liaise with local authorities and China HQ)
highly responsible, and able to manage multiple tasks efficiently
Detail-oriented with strong cross-functional communication and coordination skills.
Job ID: 138270025