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Junior Accountant FR (6 months)

Junior Accountant FR (6 months)

hays specialist recruitment pte. ltd.
1-3 Years
SGD 3,800 - 4,500 per month
  • Posted 21 hours ago
  • Be among the first 10 applicants

Job Description

Your new company
A shipping firm is looking for a 1-year contract for a GL Accounts Executive (6 months contract)

Your new role

  • . Ensure timely and accurate recording of accounting entries and completion of GL closing routines, including preparation of the monthly reporting pack, AP, AR
  • . Prepare vessel accounting-related adjustments
  • . Assist with intercompany recharges
  • . Ensure prepayments are accurately amortised and relevant accruals are properly recorded
  • . Review supplier onboarding documentations and facilitate supplier master record setup
  • . Perform balance sheet reconciliations for designated entities
  • . Liaise with auditors and tax agents on statutory audit and tax compliance matters
  • . Actively follow up on outstanding matters from prior months to ensure timely and appropriate resolution

What you'll need to succeed

Your previous experience in a similar role will lead to your success, as you will ideally have:

  • . Diploma/Degree in Accountancy
  • . Experience with Oracle Fusion is preferred
  • . 1 to 3 years of relevant working experience

What you'll get in return

You will be given the chance to continuously grow in the company due to the expanding business entity, whilst being a part of the team in the growing business.

What you need to do now
If you're interested in this role, click apply now to forward an up-to-date copy of your CV, or call Francesca at Hays on +65 6027 2257 or email [Confidential Information] for a confidential discussion. Referrals are welcome.

If this job isn't quite right for you, but you are looking for a new position, please contact us for a confidential discussion on your career.

EA Reg Number: R1660446

EA License Number: 07C3924

Company Registration No: 200609504D

More Info

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Key Skills

vessel accounting-related adjustments

intercompany recharges

supplier master record setup

balance sheet reconciliations

GL closing routines