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1. Responsible for monthly account closing for entities in the Group
2. Liaise with outsourced accounting firm and review the accounts prepared by them
3. Prepare monthly group consolidation & update management reporting
4. Oversee all statutory financial reporting to ensure compliance with financial reporting standards. Liaise with auditors to prepare audited financial statements and XBRL (for Singapore entities) for filing
5. Liaise with tax agents and regulatory agents on tax and any other related matters.
6. Other ad-hoc management & analysis report
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