Opportunity Description
Key Responsibilities Finance & Accounting Maintain full sets of accounts for group entities across multiple jurisdictions. Prepare monthly management reports, financial schedules, and supporting documentation. Perform bank reconciliations, balance sheet reconciliations, and month-end closing activities. Handle GST/VAT filings and liaise with external tax agents and auditors where required. Operational Finance Process payments, ensuring proper documentation, approvals, and compliance with internal control procedures. Maintain vendor and banking records, monitor outstanding payables, and ensure timely settlement. Implement and follow established control procedures for disbursements and reimbursements. Monitor cash balances and support cash flow tracking to ensure sufficient funds for operational needs. Handle intercompany transactions and perform reconciliations across multiple entities and currencies. Internal Collaboration Collaborate closely with the Settlement Team to retrieve, verif...
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