Maintain full set of accounts including timely monthly closing with supporting schedules and reconciliations.
Posting journal entries that comply with internal control and audit requirements.
Prepare accurate and timely monthly and yearly Fnancial statements and disclosure notes.
Process customer deposits and withdrawals
Perform bank/broker reconciliations and daily settlement payments Reconcile accounts and provide analysis for the organization's financial transactions.
Prepare corporate tax computation for provisional purposes.
Assist in budgeting and variance analysis.
Reporting system errors, discrepancies and liaising with IT teams to resolve the issues.
Prepare regulatory reporting with the authorities such as MAS, ACRA, IRAS, etc.
Assist in management reporting including financial analysis and propose recommendations to management.
Other tasks assigned by project basis.
Requirements:
University degree holder in Business Administration, Finance, Accounting, or any Finance-related discipline.
Professional qualification like ACCA or CPA is will plus point.
Min 2 years working experience in Finance function in securities industry.
Profcient in Microsoft Office applications (Excel, Word, PowerPoint)