Key Responsibilities:
- Handle full set of accounts, including AP, AR, GL, and fixed assets
- Prepare monthly financial statements and management reports
- Perform bank reconciliations and month-end/year-end closing activities
- Ensure compliance with IRAS, GST submissions, and other statutory requirements
- Assist in budgeting, forecasting, and cash flow reporting
Requirements:
- Good communication skills; able to liaise with external and internal stakeholders