Independently manage full sets of accounts for a portfolio of clients across diverse industries.
Handle end-to-end bookkeeping and ensure accuracy across all transaction classes, including accruals, prepayments, and financing items.
Prepare monthly management accounts and year-end financial statements for client review.
Prepare unaudited financial statements and draft tax computations with minimal supervision.
Perform timely and accurate reconciliations (bank, AR, AP) and maintain supporting schedules.
Handle GST submissions and support corporate tax compliance in line with Singapore regulations (FRS).
Liaise directly with auditors and clients, ensuring smooth audit and reporting processes.
Monitor key deadlines including statutory filings, GST, and vendor renewals.
Support budgeting, cash flow tracking, and payment processes.
Identify process improvements and support operational eff...
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