ACCOUNTANT
ACCOUNTANT
Due to business expansion, we are seeking a professional Accountant (new position) to manage a team with the Finance Manager and CFO in enhancing financial reporting, costing, budgeting, internal controls, treasury, regional finance and tax integration, and ensuring compliance in IFRS.
Key Responsibilities:
Financial Reporting and Analysis
· Check financial reports of existing group companies’ and prepare financial statements.
· Prepare new investments’ analytical review and management reports
· Manage CAPEX, conduct what-if analysis in new investment(s)
· Participate in due diligence exercise of target companies / businesses
· Assist Manager in group consolidation of accounts
Audit & Tax Compliance
· Support and coordination of audits, ensuring all required documents and information are provided with the team
· Ensure compliance with local and regional tax laws, corporate policies, and financial regulations.
· Identify and address areas for improvement in financial processes.
· Support risk management and implement better check and balances
Budgeting & Costing
· Assist in the preparation of annual budgets, forecasts, and financial planning.
· Provide insights and recommendations based on financial analysis.
· Monitor cash flow, cost control, and variance analysis.
Process Improvement & Systems Management
· Identify opportunities to enhance financial processes, reporting accuracy, and efficiency.
· Support the implementation and optimization of existing and/or new systems.
· Ensure proper documentation and record-keeping for financial transactions.
Requirements:
· Bachelor’s degree in Accounting / Finance / Business, ACCA (or equivalent)
· Experience in external audit is preferred (preferably from an audit firm or similar role).
· Above average in competency of IFRS
· Proficiency in group consolidation of accounts
· Good problem-solving and team involvement skills
· CA Singapore (or equivalent) qualification is advantageous, but not mandatory
· Able to start work at short notice
ACCOUNTANT
Due to business expansion, we are seeking a professional Accountant (new position) to manage a team with the Finance Manager and CFO in enhancing financial reporting, costing, budgeting, internal controls, treasury, regional finance and tax integration, and ensuring compliance in IFRS.
Key Responsibilities:
Financial Reporting and Analysis
· Check financial reports of existing group companies’ and prepare financial statements.
· Prepare new investments’ analytical review and management reports
· Manage CAPEX, conduct what-if analysis in new investment(s)
· Participate in due diligence exercise of target companies / businesses
· Assist Manager in group consolidation of accounts
Audit & Tax Compliance
· Support and coordination of audits, ensuring all required documents and information are provided with the team
· Ensure compliance with local and regional tax laws, corporate policies, and financial regulations.
· Identify and address areas for improvement in financial processes.
· Support risk management and implement better check and balances
Budgeting & Costing
· Assist in the preparation of annual budgets, forecasts, and financial planning.
· Provide insights and recommendations based on financial analysis.
· Monitor cash flow, cost control, and variance analysis.
Process Improvement & Systems Management
· Identify opportunities to enhance financial processes, reporting accuracy, and efficiency.
· Support the implementation and optimization of existing and/or new systems.
· Ensure proper documentation and record-keeping for financial transactions.
Requirements:
· Bachelor’s degree in Accounting / Finance / Business, ACCA (or equivalent)
· Experience in external audit is preferred (preferably from an audit firm or similar role).
· Above average in competency of IFRS
· Proficiency in group consolidation of accounts
· Good problem-solving and team involvement skills
· CA Singapore (or equivalent) qualification is advantageous, but not mandatory
· Able to start work at short notice