Job Description
Core Responsibilities Full Set Maintenance: Manage and reconcile the three key accounting ledgers independently: Accounts Receivable (AR): Issuing invoices, processing receipts, and tracking customer aging reports. Accounts Payable (AP): Verifying vendor invoices, preparing payment runs, and reconciling statements of account. General Ledger (GL): Posting journal entries, adjusting entries, and ensuring accuracy across all accounts. Financial Reporting & Closing: Execute month-end and year-end closing processes. Generate monthly management accounts, including balance sheets, income statements, and cash flow reports. Compliance & Audits: Prepare schedules and documentation required for statutory audits and liaise with external auditors. Handle quarterly Goods and Services Tax (GST) returns and submissions to the Inland Revenue Authority of Singapore (IRAS). Cash Flow & Ad-Hoc Duties: Assist with cash flow forecasting, daily cash management, and cross-departmental financial admin.