Back to jobsManage the full sets of accounts for Singapore, with potential expansion to include Malaysia entities in the future.
Perform accurate month-end and year-end closing including journal entries for accruals, prepayments, and provisions.
Prepare and post sales invoices, credit notes, and vendor invoices.
Maintain and reconcile general ledgers, bank accounts, and intercompany balances across Singapore and Malaysia.
Prepare financial schedules, management reports, and cash flow forecast to support business decision-making.
Maintain the fixed asses register and ensure proper accounting for additions, disposals, and depreciation.