Job Description

Position Description:

The person is responsible for corporate accounting, corporate treasury/cash-flow management and tax filing, return and related reporting.


Roles and Responsibilities

  • Create and maintain corporate accounting (eg. bookkeeping, the monthly and end-year process, management reporting, budgeting, periodical financial forecasting, and others as required) for the entity.
  • Communicate & coordinate with Singapore entity (parent company) for consolidated corporate accounting.
  • Prepare monthly, quarterly and annual financial statements in accordance with regulatory requirements and accounting standards in India (Indian GAAP) and Singapore (Singapore Financial Reporting Standards).
  • Manage cash management and treasury operations activities including bank account management, intercompany funding, cash flow forecasting, and manage reporting with banking partners.
  • Submit monthly, quarterly an...

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