
Search by job, company or skills
Job Description
- Review subsidiaries monthly management accounts, intercompany transactions and reconciliations, ensuring compliance with group accounting policies.
- Prepare monthly consolidated financial statements and management reports.
- Handle full set of accounts for investment holding companies and an operating subsidiary. Prepare monthly bank reconciliation and audit schedules.
- Ensure timely month-end and year-end closing of accounts in accordance with Singapore Financial Reporting Standards.
- Review subsidiaries monthly cash flow forecast and prepare consolidated cash flow forecast.
- Responsible for quarterly GST returns. Assist in annual tax computation and returns.
- Perform financial analysis to support business decisions and optimize profitability.
- Prepare annual budget and forecasts.
- Handle year-end audit and XBRL filing.
- Liaise with external auditors, corporate secretary and tax agent.
- Perform any other ad-hoc tasks as assigned.
Requirements
- Degree in accounting, ACCA, CA, CPA or equivalent professional qualification.
- Minimum 3 to 5 years of relevant experience in group consolidation and financial reporting. Prior experience in audit and/or F&B industry will be an advantage.
- Proficient in Microsoft Office applications, ERP system and accounting software. Experience in Oracle Netsuite is an added advantage.
- Strong knowledge of Singapore Financial Reporting Standards (SFRS) and Singapore tax regulations.
- Meticulous, strong analytical, problem-solving and communication skills.
- Proactive, hands-on, a good team player and able to work independently and meet deadlines in a fast-paced environment.
- Ability to communicate in Mandarin will be an advantage as the role requires regular interaction with Mandarin-speaking stakeholders.
Job ID: 131131201