Accountant
04 Jun 2026Job Description:
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Role Summary Responsible for the full set of accounts for assigned Singapore investment property entities and Singapore investment holding companies for Indonesia project, including consolidation support, month-end closing, preparation of schedules and input sheets, management reporting, tax, audit and treasury support.
Financial Operations |
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· Handle the full set of accounts for assigned Singapore investment property entities and Singapore investment holding companies for Indonesia project. · Assist in preparing sub-group consolidation and supporting schedules for group and JV reporting. |
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· Perform month-end closing within the Group’s reporting timeline, including preparation of journals, schedules, reconciliations and input sheets. |
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· Prepare monthly management accounts and supporting reports. |
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· Process AR billing, monitor receipts and follow up on outstanding balances where required. · Process AP billing and payment. · Prepare intercompany entries, balance sheet schedules and other closing deliverables. · Review monthly financial results and highlight material movements or exceptions for follow up. · Support the preparation of finance information required for internal reporting.
Audit & Tax · Prepare GST and WHT filings and related supporting schedules. · Prepare ECI and related schedules and support the tax computation process. · Support annual audit requirements, including preparation of schedules, reconciliations and audit supporting documents. · Ensure statutory submissions are completed accurately and on time.
Control & Compliance · Ensure compliance with internal controls, finance policies and approval procedures. · Maintain proper supporting documents, schedules and accounting records. · Highlight any control gaps, irregularities or exceptions to the Finance Manager promptly. · Support process improvements to strengthen reporting accuracy and control environment.
Treasury Support · Monitor account balances and support fund planning for operational needs. · Prepare loan drawdown, repayment, finance cost payment and related notices where required. · Prepare documents relating to bank signatories, bank mandate updates and other bank matters. · Ensure treasury and banking matters are properly documented and handled in compliance with facility agreement requirements, internal approval limits and bank requirements. · Support cashflow reporting and other treasury administrative matters.
Budget & Forecasting · Support the annual budget and periodic forecast process by preparing templates and compiling information from relevant stakeholders. · Assist with uploading or updating approved budget and forecast figures in the system. · Support variance analysis against budget, forecast and prior period where required.
Others · Support system implementation and process improvement initiatives. · Assist with ad hoc finance matters as assigned by management.
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Requirements
· Degree in Accounting or equivalent with minimum 5 years of relevant experience, preferably with experience in property management business, ie. leasing of commercial spaces, real estate developments.
· Meticulous and exercises high level of discretion when dealing with confidential information
· Excellent in analytical and interpersonal skills.
· Good personality, able to communicate proficiently and effectively with all levels.
· Expertise in operating NetSuite and Cognos is preferred.