About the role
AI summarisedHandle a spectrum of finance-related activities including treasury, financial accounting and reporting, general ledger, accounts payable, accounts receivable, asset management, audit, and tax matters. Participate in finance transformation projects while contributing to day-to-day accounting operations.
ConsultingOnsiteFinance Support
Key Responsibilities
- Handle day-to-day accounting and finance operations
- Liaise with shared service team, Interfirm team, and business units regarding ServiceNow requests, refund requests, and contra settlement
- Reconcile unapplied cash receipts by identifying exceptions and discrepancies and matching to invoices
- Prepare daily/weekly cash reports, monthly bank reconciliations, and journals
- Handle the timely preparation of month-end closing reports and schedules
- Involve in regulatory compliance, such as preparing Government surveys and statistics reporting
- Manage GST and Withholding Tax Accounting, Reporting, and Filing
- Identify and drive continuous improvement of finance processes
- Undertake ad hoc duties/projects as assigned
Requirements
- Minimum Diploma in accounting or similar certification
- At least 1 year of relevant working experience
- Excellent communication and interpersonal skills
- Strong team player attitude
- Resourceful, meticulous, organized, and able to multi-task
- Confident in handling data and figures
- Ability to work effectively in a fast-paced environment under pressure
- Proficiency in Microsoft Office