Prepare accurate and timely monthly, quarterly and annual financial statements, including profit and loss statements, balance sheets and cash flow reports
Manage monthly entries, bank reconciliations, accounts payable and receivable functions, ensuring timely payment of invoices/commission and collection of dues
Develop and implement robust financial controls, policies and procedures to ensure the integrity of financial data and compliance with industry standards
Ensure compliance with local tax laws, including GST and corporate tax filings
Preparation and submission of tax returns
Liaise with auditors for audit enquiries and year-end audits
Monitor cash flow, optimise working capital and ensure efficient financial management
Analyse financial position of the company on monthly basis
Prepare ad-hoc reports and analyses as needed to support management decisions
Other ad-hoc duties assigned
Qualifications:
Diploma/Degree in Finance, Accounting or related field CA, CPA, ACCA or equivalent certification preferred
Minimum of 3-5 years of experience in finance or accounting roles
In-depth knowledge of financial regulations, standards and best practices
Proficient in Microsoft Office Suite
Knowledge of accounting software (e.g. Xero) is a plus
Ability to collaborate effectively with cross-functional teams.
High level of integrity and professionalism, attention to details with a commitment to maintaining confidentiality and ethical standards.