Responsibilities
- Ensure timely and accurate submission of MAS returns and other regulatory submissions.
- Manage the month-end close process to ensure accurate and complete close of books and records.
- Monitor and manage company cash flows, liquidity planning and ensure timely collections and payments.
- Prepare financial statements under IFRS and coordinate with external auditors, ensuring adherence to regulatory requirements.
- Support annual budget process and financial forecasts, monitor budget performance and provide variance analysis to align with strategic goals.
- Drive improvements in internal controls, accounting procedures and financial reporting.
Qualifications & Experience
- Bachelor’s degree in accounting, Finance or a related professional qualification (CPA, ACCA or equivalent is preferred).
- 3 to 5 years of working experience. Experience in financial services industry or audit background is preferred.
- Familiarity with financial reporting standards, tax regulations, and regulatory compliance relevant to asset management.
- Proficiency in Microsoft Excel and accounting software (i.e XERO or Quickbooks)
- Attention to detail and accuracy in data entry and financial records.
- Strong analytical skills and able to handle complex tasks independently.