Job Description

Ensure timely month-end closing and accurate financial reporting. Prepare monthly, quarterly, and year-end financial packs with performance analysis and supporting schedules. Prepare and post journal entries with proper documentation. Perform bank, intercompany, and balance sheet reconciliations, including audit schedules. Support external and internal audits, as well as other statutory requirements. Assist with tax provision, deferred tax, and tax reporting. Prepare financial statements and handle XBRL submission. Partner with business divisions for budgeting, forecasting, and performance monitoring. Identify areas for improvement and streamline finance processes for better efficiency. Handle ad-hoc finance tasks or operational matters assigned by the supervisor. Requirements: Holds a Degree in Accounting or equivalent. Minimum 5 years of relevant experience in a similar role. Strong understanding of IFRS/FRS and their applications. Experience with SAP is an added advantage. Proficien...

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