Job Summary:
We are looking for a proactive Group Accountant to lead financialconsolidation, reporting, and analysis for the group, while supporting overseasoffices on accounting processes, policies, and compliance. The role also coverscorporate tax, treasury coordination, and corporate secretarial support.
KeyResponsibilities:
- Prepare consolidated financial statements and management reports
- Lead budgeting, forecasting, and variance analysis across the group
- Support and advise regional offices on accounting, reporting, and compliance
- Ensure corporate tax compliance and liaise with advisors
- Assist in treasury operations, banking documentation, and corporate secretarial matters
- Drive process improvements and standardization of reporting across the group
Requirements:
- Bachelor's degree or professional qualification in Finance, Accounting, or related field
- At least 3 years of experience in group accounting, consolidation, or FP&A. Previous experience as an auditor will be an advantage
- Strong proficiency in Excel, ERP systems. Experience with SAP & BI tools will be an advantage
- Self-motivated, resourceful, and a problem solver with strong business acumen.
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Detail Job Description
1.Financial Reporting & Analysis
- Prepare monthly consolidated financial reports & business management reports
- Analyze financial performance, KPIs, and trends
- Provide actionable insights to senior management
2.Financial Planning & Forecasting
- Lead annual budgeting and periodic forecasting processes
- Develop financial models to support strategic decision making
- Monitor variances between actuals vs budget/forecast
3. Group Finance Support & Governance
- Advise and support overseas offices on accounting processes and best practices
- Ensure compliance with group accounting policies and reporting standards
- Provide guidance on financial reporting requirements and timelines
- Review submissions from regional teams to ensure accuracy and consistency
- Act as a key liaison between headquarters and overseas finance teams
4.Audit, Compliance & Tax
- Coordinate and support external and internal audits across regional entities, including audit planning, issue resolution, and timely closure of audit findings
- Provide technical support on accounting and tax matters, including interpretation of group policies and alignment with applicable standards (e.g., IFRS/local GAAP)
- Support tax audits and inquiries from authorities, ensuring timely resolution and documentation
- Liaise with auditors, tax advisors, and regulatory authorities to facilitate smooth audit and reporting processes
5.Treasury & Corporate Secretarial Support
- Liaise with external advisors, banks, and regulatory bodies for administrative and compliance purposes
- Prepare and provide financial reports, statements, and other documentation required by banks, financial and government regulatory bodies (e.g., Singstat)
- Coordinate with corporate secretarial teams on corporate matters, including statutory filings, regulatory compliance, and board/committee documentation