Transport Allowance, Mobile Allowance & Performance Bonus provided.
Medical benefits provided.
Career development guaranteed.
Opportunity to work with top brands from different industries.
Enjoy complimentary refreshments and snacks.
Company events & activities.
Strategic location, nearby facilities e.g. banks, restaurants and supermarkets.
Positive, young and dynamic working environment.
Job Responsibilities:
Full Set of Accounts: Oversee accurate preparation and maintenance of financial statements in compliance with accounting standards.
Daily Financial Operations: Manage day-to-day accounting functions, including accounts payable, receivable, and general ledger.
Reporting: Prepare monthly consolidated management, statutory, and ad-hoc reports, ensuring alignment with company goals.
Budgeting, Forecasting & Performance Monitoring: Lead annual budgeting and forecasting, track actual vs. budget performance, and drive corrective actions.
Variance & Cash Flow Analysis: Conduct variance analysis and manage monthly cash flow projections to ensure financial stability.
Regulatory Compliance: Ensure compliance with accounting, tax, and legal requirements, staying updated on changes in regulations.
Tax Submissions: Oversee withholding tax, SST filings, and annual tax submissions, ensuring accuracy and timeliness.
Internal Controls & Best Practices: Design and implement financial controls and process improvements for operational efficiency.
Stakeholder Liaison: Coordinate with internal/external auditors, tax agents, and other stakeholders to ensure smooth operations.
Ad-Hoc Support: Provide financial guidance and manage special projects or tasks as directed by management.
Job Requirements:
Candidate must possess at least a Diploma / Bachelor's degree in Accounting, Finance, or related field. Professional certifications (e.g., ACCA, CPA) preferred.
Minimum of 5 years of relevant experience in accounting or finance, with exposure to full-cycle accounting and financial reporting.
Proficiency in SQL accounting software and Microsoft Excel. Familiarity with financial modeling and reporting tools.
In-depth understanding of accounting standards, tax regulations, and compliance requirements (e.g., SST, withholding tax).
Strong ability to perform variance analysis, financial forecasting, and cash flow management.
High level of accuracy and attention to detail in financial reporting and document management.
Strong verbal and written communication skills, with the ability to present financial data to senior management and external parties.
Ability to identify issues, recommend solutions, and implement corrective actions in financial processes.
Ability to work effectively with internal teams, external auditors, tax agents, and other stakeholders.