Direct and oversee day to day operations of the accounting and finance team of the organization;
Manage the Group cash flow of various entities and review cash flow forecast to ensure a healthy cash position;
Review payments for Singapore and Regional Offices;
Ensure timely closing of monthly accounts and preparation of consolidated management and financial forecast report for management reviews;
Partnering with different business units on their budgeting and forecasting processes;
Oversee and approve monthly payroll;
Adhere to the internal controls procedures and policy to improve the efficiencies within the organization;
Working with the statutory auditors for the preparation of the annual audit and tax auditors for the corporate tax;
Oversee regional offices operations;
Other ad-hoc projects and tasks as assigned by the Directors.
Job Requirements
At least a degree in accounting, ACCA or other equivalent;
At least 5 -7 years\xe2\x80\x99 of related experience in finance and accounting role;
Highly motivated self-starter, possess positive mindset with strong work ethics and initiatives, adaptable with strong organization skills, excellent analytical and problem solving skills;
Hands on and a team player, resourceful and able to work indpendently;
. Excellent communication and interpersonal skills with the ability to manage different stakeholder;
Proficient in Excel and knowledge of Navision system will be an advantage;
. Singaporeans only.
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