An international FinTech and investment business is establishing its office in Singapore to manage the regional treasury operations. They are looking to recruit 2 members to be part of this new team.
Responsibilities
Maintain and prepare financial statements
Perform treasury functions (follow up on FX transactions execution and confirmation, reporting, liaising with HQ, banks)
Manage payment and expenses reimbursements, ensuring proper documentation is in place
Budgeting and cash flow management
Requirements
3 – 5 years of accounting/audit experience
Intermediate to advanced MS Excel skills (Pivot Table, SUMIF, etc.)
Ability to read and write in Chinese (there will be some written correspondence in Chinese with counterparts in Taiwan and China)
Some interest in or general understanding of FinTech industry is a plus
To apply, kindly submit your resume (MS Word format is preferred) via the 'Apply' button.