Job Description

Responsibilities

  • Manage the full spectrum ofaccounting activities for assigned entities, including general ledger maintenance, month-end closing, and financial reporting.
  • Prepare monthly management reports, balance sheet reconciliations, journals, schedules, and supporting documentation within reporting deadlines.
  • Support group reporting requirements, including consolidation schedules and submissions for joint venture and investment entities.
  • Process accounts payable and receivable transactions, monitor collections, and ensure timely settlement of obligations.
  • Assist with tax-related matters, including GST, withholding tax filings, tax schedules, and supporting documentation for tax computations.
  • Coordinate and support external audits by preparing audit schedules, reconciliations, and responding to auditor queries.
  • Assist with treasury activities such as cash flow monitoring, banking administ...

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