Independently manage the Singapore entity's month-end closing, reconciliations, bank statements, and management report preparation.
Liaise with the corporate secretary to complete GST submissions, corporate tax estimates, and annual tax pack preparation.
Oversee local cash flow, review payments, monitor collections, and prepare cash flow forecasts.
Maintain the integrity and compliance of the Xero accounting system, ensuring proper use of chart of accounts and compliance with booking policies.
Review the overseas subsidiary's monthly financial reports and coordinate with their local secretarial/accounting team for data alignment.
Manage intercompany transaction reconciliations and clearing of outstanding balances.
Job Requirements:
Diploma or Degree in Accounting, Finance, or related field. Professional qualification such as ACCA, CA Singapore, or equivalent is preferred.
3-5 years of full-set accounting experience in Singapore, with the ability to independently handle month-end closing, financial reporting, and tax filing coordination.
Experience with cross-border entities, group consolidation, or financial review of overseas subsidiaries is an advantage.
Proficient in accounting software Xero expertise is a strong plus.
Familiar with Singapore FRS and GST filing rules.
Strong communication skills in both English and Mandarin, to liaise with Mandarin-speaking stakeholders.