About the Role
The role is primarily responsible for daily operations and reporting in a startup environment with opportunities of APAC region exposure.
What you will do:
- Processing daily transactions and funding requirements, updating relevant data and transactions in the accounting and management systems;
- Preparing, handling and managing a full set of accounts including AR, AP, Journal Entries and ensuring timely month-end closing;
- Preparing accounting reconciliations and reviewing of company accounts;
- Preparing reconciliation for inter-company transactions;
- Preparing management reports and assisting in the review of financial reports;
- Compiling and filing quarterly GST returns;
- Liaising with external auditors and tax agent on year-end financial auditing and corporate tax filing;
- Weekly cash flow update and reconciliation
- Attending to merchants’, government and any other enquiries from third parties
- Assisting in developing, maintaining and updating written policies and procedures over the financial reporting process and financial controls;
Who we're looking for
- Possess a Degree in Finance / Accounting major or related
- 2-4 years experience in accounting, tax and audit
- Good working knowledge of IFRS and taxation laws in Singapore
- Experience in analyzing a large volume of data and transactions
- Analytical, proactive and independent
- Meticulous, organized and detail-oriented
- Strong verbal and written communication skills as the job requires you to coordinate with multiple stakeholders in Singapore and HQ offices
- Honest and high level of integrity
- Can-do attitude, driven and passionate about work
- Open-minded, eager to learn and able to adapt to a fast-paced working environment
- Intermediate/Advanced Microsoft Excel, PowerPoint skills and SQL skills are desirable
If you are driven and looking for tremendous growth opportunities and want to grow with us, we would love to speak with you soon!