Responsibilities
1.Maintain full sets of books, including General Ledger,Accounts Payable (AP), and Accounts Receivable (AR)
2.Perform month-end and year-end closing activities,including bank reconciliations and journal entries
3.Prepare monthly, quarterly, and annual financialstatements, such as P&L (Profit& Loss) and Balance Sheets
4.Prepare and submit GST returns to tax authorities(e.g., IRAS) and ensure compliance with tax regulations Maintain properinternal controls and risk management practices
5.Liaise with internal/external auditors, prepare auditschedules ensure compliance with accounting standards
6.Manage cash flow, budgeting, and forecasting
7.Manage Banking relationships, including coordinationwith bankers on financial facilities & transactions
8.Any other ad hoc requests by the supervisor
Requirement
-Min LCCI Diploma in Accountancy or equivalent
-Minimum 3-4 years of relevant accounting experience, often including full-setaccounting.
-Proficiency in Accounting software and Microsoft Excel, deep knowledge of GST, tax, and auditing
-Team Lead with good communication and interpersonal skills