Opportunity Description
Responsibilities
- Responsible for monthly account closing for entities in the Group
- Manage daily cash flow and schedule payment
- Prepare monthly group consolidation & update management reporting
- Oversee all statutory financial reporting to ensure compliance with financial reporting standards. Liaise with auditors to prepare audited financial statements and XBRL (for Singapore entities) for filing
- Liaise with tax agents and regulatory agents on tax and any other related matters.
- Other ad-hoc management & analysis report
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