Role Overview
The Financial Accountant will be primarily responsible for handling the full spectrum of accounting and finance functions for the company. This role requires a hands-on individual capable of producing IFRS-compliant financial statements, performing cash flow forecasting, and providing essential corporate secretarial support, including drafting board and shareholder resolutions.
Key Responsibilities
1. Accounting & Finance Management
- Manage the full set of accounts and finance functions for the company.
- Maintain proper books, records, and financial controls.
- Monitor financial position, cash flow, and related finance matters.
2. Financial Reporting & IFRS Compliance
- Produce accurate Annual Financial Statements and management reports in accordance with IFRS rules.
- Coordinate finance-related schedules, supporting documents, and reporting materials.
3. Financial Planning & Cash Flow Forecasting
- Perform regular and accurate cash flow forecasting, planning, and monitoring.
- Assist in planning receipts, payments, and short-term funding requirements.
4. Tax Coordination & Corporate Secretarial Support
- Work closely with external corporate secretaries and banking partners to support financial operations, reporting, and compliance matters.
- Assist in drafting Director's and Shareholders resolutions.
- Coordinate tightly with external professionals to ensure smooth tax filing (e.g., ECI, Form C-S/C) and statutory compliance.
5. Financial Documentation & Payment Management
- Support payment processing and submission through relevant banking systems in accordance with internal procedures.
- Ensure proper documentation and supporting records are maintained for all finance-related transactions.
6. Other Duties as Assigned by the Director
- Provide general administrative and operational support to the Executive Director for daily tasks.
- Carry out other duties and responsibilities as assigned by the Director from time to time.
- Handle all records, documents, and company information with a high level of discretion and confidentiality.
Requirements
- Bachelor's degree in accounting, Finance, or a related field.
- About 3 years of relevant experience in accounting or finance fresh graduates with strong academic backgrounds and high potential are welcome to apply.
- Solid knowledge of IFRS (International Financial Reporting Standards) and experience in producing full financial statements.
- Familiar with Singapore accounting/tax filing systems
- Experience in cash flow forecasting and management.
- Fluent in both English and Chinese, with good written and verbal communication skills (essential for drafting bilingual resolutions and communicating with stakeholders).
- High integrity, proactive attitude, and a strong sense of confidentiality are essential.