Job Description
Key Responsibilities
Financial Reporting:
Prepare accurate and timely financial reports for internal and external stakeholders
Ensure compliance with accounting standards and regulatory requirements
Conduct thorough financial analysis to provide insights of financial performance to senior management
Monitor and assess the impact of financial trends on the organization’s financial stability
Cash Flow Management:
Manage cash flow to ensure optimal utilization of resources
Forecast and analyze cash requirements to support operational needs
Compliance:
Ensure adherence to financial regulations and compliance with local and international accounting standards
Coordinate with external auditors during audits and regulatory inspections
Financial Controls:
Establish and maintain robust financial controls to safeguard company assets
Regularly review and update financial policies and procedures
Team Leadership:
Lead and develop the finance team, fostering a culture of continuous improvement and professional growth
Provide mentorship and guidance to team members
Tax Planning and Compliance:
Ensure accurate and timely preparation of tax returns
Collaborate with tax advisors to optimize the organization’s tax position
Check and ensure timely and accurate quarterly submission of GST return to IRAS
Requirements:
• Bachelor’s degree in accountancy or ACCA or related field.
• Proven experience in statutory reporting and group consolidation
• Strong understanding of financial regulations, accounting principles, and financial analysis.
• Excellent leadership and communication skills.