About this role
Job Description · Support internal accounting work including preparing monthly management accounts and financial statements. · Coordinate and liaise with external service providers, including advisors, tax agents, corporate secretaries and auditors. · Update weekly cash flows, and assist with quarterly GST filings, financial budgets, forecasts and cash flow projections. · Maintain financial records and databases including fixed asset register, intercompany transactions. · Responsible for bank account management and bank account opening, and assisting with AML/KYC checks. · Support and assist with tax filings and payments, compliance reporting and statutory filings. · Support the processing of payments and claims. · Take on ad-hoc duties when necessary. Job Requirements: · At least 2 – 3 years of relevant experience · Meticulous with strong problem-solving skills. · Interest to work in fast-paced environment. · Strong interpersonal and communication skills to be able to liaise with internal and external stakeholders. · Strong sense of ownership, initiative and resourcefulness. · Excellent written and spoken English. · Professional and people oriented. Positive, collaborative and keen to learn. · Possess a track record of excellence and willing to be hands on. · Able to assume a broad role with the ability to prioritise
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