Accountant (Dual Reporting)

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Responsibilities:

Financial Operations

  • Handle full-set accounts for Singapore investment property and holding entities.
  • Perform month-end closing, including journals, reconciliations, schedules, and reporting.
  • Prepare monthly management accounts and supporting reports.
  • Manage AP/AR processes, billing, payments, collections, and intercompany transactions.
  • Support group and JV reporting, including consolidation schedules and financial analysis.

Audit & Tax

  • Prepare GST, WHT, and ECI filings with supporting schedules.
  • Support tax computation and statutory submissions.
  • Assist with annual audit processes and audit documentation.

Treasury & Cash Management

  • Monitor cash balances and support operational fund planning.
  • Handle loan drawdowns, repayments, finance cost payments, and banking documentation.
  • Support cashflow reporting and treasury administration.

Budgeting & Reporting

  • Support annual budgeting and periodic forecasting exercises.
  • Prepare variance analysis against budget and prior periods.
  • Assist with updating budget and forecast figures in the system.

Compliance & Process Improvement

  • Ensure compliance with internal controls, finance policies, and statutory requirements.
  • Maintain proper accounting records and supporting documentation.
  • Identify control gaps and support process and system improvement initiatives.
  • Assist with ad hoc finance projects and assignments.

Requirements:

Degree in Accounting or equivalent qualification with at least 5 years of relevant experience.

Experience in property management, commercial leasing, or real estate development is preferred.

Strong analytical, communication, and interpersonal skills.

Meticulous, detail-oriented, and able to handle confidential information with discretion.

Able to communicate effectively with stakeholders across all levels.

Experience with NetSuite and Cognos is an advantage.

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