Thank you for subscribing to your personalised job alerts.

21 jobs found for Treasury

filter3
clear all
    • permanent
    • S$2,000 - S$2,200 per year
    • full-time
    about the companyHeadquartered in Singapore, they are a renowned leader in the shipping business with sizeable operations and global footprint. With their ongoing commitment in delivering the highest service standards to their clients, there is an exciting opportunity for a keen learner to be part of their treasury team as a Treasury Executive. about the jobReporting to Head of Treasury, you will be responsible for execution of treasury operations. You will be hands on with posting of bank statements and reconciliations, creditor invoices and settlements, cash flow forecasting while ensuring compliance to audit skills and experience requiredYou should be ideally diploma qualified and/or with over one year of accounting experience. Candidates/Fresh graduates without prior treasury knowledge but keen to gain experience can also be considered. You are dynamic, adaptable and willing to learn. To apply online please use the 'apply' function, alternatively you may contact Lauren Baey at 96935225. (EA: 94C3609/R21100977).
    about the companyHeadquartered in Singapore, they are a renowned leader in the shipping business with sizeable operations and global footprint. With their ongoing commitment in delivering the highest service standards to their clients, there is an exciting opportunity for a keen learner to be part of their treasury team as a Treasury Executive. about the jobReporting to Head of Treasury, you will be responsible for execution of treasury operations. You will be hands on with posting of bank statements and reconciliations, creditor invoices and settlements, cash flow forecasting while ensuring compliance to audit skills and experience requiredYou should be ideally diploma qualified and/or with over one year of accounting experience. Candidates/Fresh graduates without prior treasury knowledge but keen to gain experience can also be considered. You are dynamic, adaptable and willing to learn. To apply online please use the 'apply' function, alternatively you may contact Lauren Baey at 96935225. (EA: 94C3609/R21100977).
    • permanent
    • S$4,000 - S$5,000 per month
    • full-time
    about the company An established global consulting firm is highly valued by the industry for its efficiency, speed and reliability. They are looking for a new headcount as a Treasury Consultant to join the team. about the jobThis is a good opportunity to work with various clients on treasury related projects. You will assist in treasury implementation services by identifying, analysing, performing risk assessment, and providing solutions to clients. You will also be involved in conducting system vendor selection for clients. You are proficient in Microsoft Office to create presentation decks and pitch to clients. skills and experience requiredYou should ideally have a degree in Accountancy or Finance and a minimum of 2 years of experience in implementation of treasury management system (TMS). You have a good learning attitude, motivated, problem-solver, innovative in solutioning, and excellent interpersonal skills to interact with various stakeholders. This role is open to fresh graduates with IT experience in data management, SQL, automation, visualization or data analytics background who have prior internship experiences in treasury function. If you are looking for a dynamic environment, please click the 'apply' function for a smooth easy process to register your interest and CV for the role. Alternatively, you may contact Stella at 65101350 (EA: 94C3609 \R1984239). Due to a high demand for this role, we regret that only shortlisted candidates will be notified.
    about the company An established global consulting firm is highly valued by the industry for its efficiency, speed and reliability. They are looking for a new headcount as a Treasury Consultant to join the team. about the jobThis is a good opportunity to work with various clients on treasury related projects. You will assist in treasury implementation services by identifying, analysing, performing risk assessment, and providing solutions to clients. You will also be involved in conducting system vendor selection for clients. You are proficient in Microsoft Office to create presentation decks and pitch to clients. skills and experience requiredYou should ideally have a degree in Accountancy or Finance and a minimum of 2 years of experience in implementation of treasury management system (TMS). You have a good learning attitude, motivated, problem-solver, innovative in solutioning, and excellent interpersonal skills to interact with various stakeholders. This role is open to fresh graduates with IT experience in data management, SQL, automation, visualization or data analytics background who have prior internship experiences in treasury function. If you are looking for a dynamic environment, please click the 'apply' function for a smooth easy process to register your interest and CV for the role. Alternatively, you may contact Stella at 65101350 (EA: 94C3609 \R1984239). Due to a high demand for this role, we regret that only shortlisted candidates will be notified.
    • permanent
    • S$5,000 - S$6,000 per month
    • full-time
    about the companyLong standing history with strong branding in the market. This US listed MNC has been growing in the last few years both organically and inorganically. Currently, they are looking for a high calibre Asia Treasury Analyst for their Asia business. About the roleReporting to the Asia Treasury Manager, you will be supporting the managing the full spectrum of treasury for the APAC region. You will be handling the cash and liquidity management, lead the local finance and shared service teams to develop and monitor the cash flow forecasts. You will also monitor the regional cash pool position. You will arrange liquidity to support business operations via instruments like intercompany loans, external borrowings and capital injections. You will also monitor the repayments and collections in Foreign currencies. You will be in-charge of approving the vendor payments and also lead the opening/closing of bank accounts. You will support the other banking service operations (including bank guarantee, letter of credit etc) and act as the system administrator for the online banking platforms (JPM Access, HSBCnet, Citi Direct). In this role, you will be in charge of treasury operations and cash settlement for the business. skills and experience requiredYou should ideally possess an accounting, finance or economics degree from a reputable university, You should have a strong working knowledge of treasury operation including cash and debt management. You should be familiar with the use of multi-banking platforms and reporting. You are able to learn and adapt quickly to new circumstances and ambiguous situations. You are proficient in excel and able to develop reports for analysis purposes. You are meticulous and analytical. You possess strong communication skills and have the experience liaising with different stakeholders in the APAC region. Prior knowledge of SAP and SAP S4 HANA Treasury systems will be a plus. There might be occasional travels (less than 10%) for this position. To apply online please use the 'apply' function, alternatively you may contact Agnes Lim at 65101355 (EA: 94C3609/ R1439933 ).
    about the companyLong standing history with strong branding in the market. This US listed MNC has been growing in the last few years both organically and inorganically. Currently, they are looking for a high calibre Asia Treasury Analyst for their Asia business. About the roleReporting to the Asia Treasury Manager, you will be supporting the managing the full spectrum of treasury for the APAC region. You will be handling the cash and liquidity management, lead the local finance and shared service teams to develop and monitor the cash flow forecasts. You will also monitor the regional cash pool position. You will arrange liquidity to support business operations via instruments like intercompany loans, external borrowings and capital injections. You will also monitor the repayments and collections in Foreign currencies. You will be in-charge of approving the vendor payments and also lead the opening/closing of bank accounts. You will support the other banking service operations (including bank guarantee, letter of credit etc) and act as the system administrator for the online banking platforms (JPM Access, HSBCnet, Citi Direct). In this role, you will be in charge of treasury operations and cash settlement for the business. skills and experience requiredYou should ideally possess an accounting, finance or economics degree from a reputable university, You should have a strong working knowledge of treasury operation including cash and debt management. You should be familiar with the use of multi-banking platforms and reporting. You are able to learn and adapt quickly to new circumstances and ambiguous situations. You are proficient in excel and able to develop reports for analysis purposes. You are meticulous and analytical. You possess strong communication skills and have the experience liaising with different stakeholders in the APAC region. Prior knowledge of SAP and SAP S4 HANA Treasury systems will be a plus. There might be occasional travels (less than 10%) for this position. To apply online please use the 'apply' function, alternatively you may contact Agnes Lim at 65101355 (EA: 94C3609/ R1439933 ).
    • permanent
    • S$8,000 - S$9,000 per month
    • full-time
    about the companyThe company is one of the fastest growing crypto trading platforms in the world. Currently, they are looking for a Treasury Assistant Manager/Manager to join the team. about the jobIn your role, you will monitor and manage the organization’s bank relationship and liquidity. You will be responsible for bank accounts opening and manage the accounts with the team. You will handle daily cash management. You will manage platform accounts and establish workflow in relation to business operations. You will manage foreign currency exposure and foreign currency payments. You will forecast the medium and long term funding requirements. You will support the payment process and debt facilities management when needed. You will support the month end process where appropriate. skills and experience requiredYou should possess a degree in accountancy with at least 5 years of experience in a treasury position. You should have a good knowledge of banking relationships and covenants. You should have a strong understanding of treasury accounting including FX, liquidity, cash flow and various financial instruments. You have the ability to work both independently and as part of a team in a fast paced, multi-task environment with a strong attention to detail. To apply online please use the 'apply' function, alternatively you may contact Shermaine Yeong (EA: 94C3609/ R1874750 ) .
    about the companyThe company is one of the fastest growing crypto trading platforms in the world. Currently, they are looking for a Treasury Assistant Manager/Manager to join the team. about the jobIn your role, you will monitor and manage the organization’s bank relationship and liquidity. You will be responsible for bank accounts opening and manage the accounts with the team. You will handle daily cash management. You will manage platform accounts and establish workflow in relation to business operations. You will manage foreign currency exposure and foreign currency payments. You will forecast the medium and long term funding requirements. You will support the payment process and debt facilities management when needed. You will support the month end process where appropriate. skills and experience requiredYou should possess a degree in accountancy with at least 5 years of experience in a treasury position. You should have a good knowledge of banking relationships and covenants. You should have a strong understanding of treasury accounting including FX, liquidity, cash flow and various financial instruments. You have the ability to work both independently and as part of a team in a fast paced, multi-task environment with a strong attention to detail. To apply online please use the 'apply' function, alternatively you may contact Shermaine Yeong (EA: 94C3609/ R1874750 ) .
    • permanent
    • S$9,000 - S$11,000 per month
    • full-time
    about the companyStrong branding in the market with a strong vision, this fintech startup has been growing exponentially in the APAC region. Constantly improving based on the needs of their consumers, they came up with multiple digital access to enrich the lives of billions of investors. Currently, they are looking for a high calibre Treasury Manager / Senior Manager for their business. about the roleReporting to the head of treasury, you will be coordinating with stakeholders in the operations and finance department to manage the firm's liquidity, cash management and funding needs. You will facilitate treasury and cash management functions which includes balancing the different trading accounts, interest calculations, bank fee validations, monitoring FX rates on the exchange and making wise funding decisions to create liquidity for the exchange. You will manage the end to end OTC settlements, manage cash settlement activities and trade execution. You will also support translation activity for forecasting and analysis, partner with the other departments to develop new recommendations to enhance the treasury function. You will also maintain a productive working relationship with banking partners, development operations and other internal and external stakeholders. skills and experience requiredYou should ideally possess at least 5 years of relevant experience. You are highly adaptable and are able to thrive well in a dynamic environment. You possess strong knowledge of cash management and FX management, some understanding of digital assets infrastructure and markets. You are highly proficient in excel. Knowledge of SQL and data structure will come as a big plus for the role. Prior experience in doing a dealership will come as a strong advantage for this role. To apply online please use the 'apply' function, alternatively you may contact Agnes Lim at 65101355 (EA: 94C3609/ R1439933 ).
    about the companyStrong branding in the market with a strong vision, this fintech startup has been growing exponentially in the APAC region. Constantly improving based on the needs of their consumers, they came up with multiple digital access to enrich the lives of billions of investors. Currently, they are looking for a high calibre Treasury Manager / Senior Manager for their business. about the roleReporting to the head of treasury, you will be coordinating with stakeholders in the operations and finance department to manage the firm's liquidity, cash management and funding needs. You will facilitate treasury and cash management functions which includes balancing the different trading accounts, interest calculations, bank fee validations, monitoring FX rates on the exchange and making wise funding decisions to create liquidity for the exchange. You will manage the end to end OTC settlements, manage cash settlement activities and trade execution. You will also support translation activity for forecasting and analysis, partner with the other departments to develop new recommendations to enhance the treasury function. You will also maintain a productive working relationship with banking partners, development operations and other internal and external stakeholders. skills and experience requiredYou should ideally possess at least 5 years of relevant experience. You are highly adaptable and are able to thrive well in a dynamic environment. You possess strong knowledge of cash management and FX management, some understanding of digital assets infrastructure and markets. You are highly proficient in excel. Knowledge of SQL and data structure will come as a big plus for the role. Prior experience in doing a dealership will come as a strong advantage for this role. To apply online please use the 'apply' function, alternatively you may contact Agnes Lim at 65101355 (EA: 94C3609/ R1439933 ).
    • permanent
    • full-time
    about the companyOur Client is a Global MNC and a market leader in the Industrial sector that it operates in. Despite the Covid situation, their business is doing better and with a positive outlook for 2021, they are looking for a strong Treasury assistant manager to join their team.about the jobReporting to the Global Treasury manager, you will be supervising the execution of smooth fund settlement and securing of liquidity accurately, handling and supervise daily payment and settlements issues independently and developing fund efficiency measures. You will check and report the actual and forecast of cash flow, supervising and support Forex, cash allocation and fixed deposit trades. You will also monitor the performance of outsourcing company and managing global bank accounts. Supervising and support intercompany cash movement to overseas subsidiaries.skills and experience requiredBachelor’s Degree in accounting, Finance, and other business-related fields with experience in treasury related scope of workFamiliar with capital and cash management and fundamental accounting knowledge for financial transactionsSelf-starter, responsible and able to work independently. Willingness to self-develop through on-the-job trainingExperience in cash management or liquidity back office in a commercial bank is highly desirableExperience in SAP ERP system is a plusTo apply online please use the 'apply' function, alternatively you may contact Dylan Lim at 6510 1366.(EA: 94C3609/R1768186)
    about the companyOur Client is a Global MNC and a market leader in the Industrial sector that it operates in. Despite the Covid situation, their business is doing better and with a positive outlook for 2021, they are looking for a strong Treasury assistant manager to join their team.about the jobReporting to the Global Treasury manager, you will be supervising the execution of smooth fund settlement and securing of liquidity accurately, handling and supervise daily payment and settlements issues independently and developing fund efficiency measures. You will check and report the actual and forecast of cash flow, supervising and support Forex, cash allocation and fixed deposit trades. You will also monitor the performance of outsourcing company and managing global bank accounts. Supervising and support intercompany cash movement to overseas subsidiaries.skills and experience requiredBachelor’s Degree in accounting, Finance, and other business-related fields with experience in treasury related scope of workFamiliar with capital and cash management and fundamental accounting knowledge for financial transactionsSelf-starter, responsible and able to work independently. Willingness to self-develop through on-the-job trainingExperience in cash management or liquidity back office in a commercial bank is highly desirableExperience in SAP ERP system is a plusTo apply online please use the 'apply' function, alternatively you may contact Dylan Lim at 6510 1366.(EA: 94C3609/R1768186)
    • permanent
    • S$4,500 - S$5,500 per month
    • full-time
    about the company. Our client has a strong credit rating with an established global branch networks. They offer a full suite of corporate banking products to local as well as regional corporations. about the jobQuote and fix FX/MM and interest rates Ensure high accuracy of trade executionIssue Certificate of Deposits Limits monitoring, positions exposure, and counterparty limits Assist in preparing management report about the manager/teamYou will report to the Treasurer and work in a highly fast-paced environment. skills and experience requiredDegree in Banking, Business or Accountancy Min 2 years of treasury dealing experience in a corporate bank A keen learner and meticulousPossess relevant CMFAS certification To apply online please use the 'apply' function, alternatively you may contact Chai Leng at 6510 1460. (EA: 94C3609/ R1108371)
    about the company. Our client has a strong credit rating with an established global branch networks. They offer a full suite of corporate banking products to local as well as regional corporations. about the jobQuote and fix FX/MM and interest rates Ensure high accuracy of trade executionIssue Certificate of Deposits Limits monitoring, positions exposure, and counterparty limits Assist in preparing management report about the manager/teamYou will report to the Treasurer and work in a highly fast-paced environment. skills and experience requiredDegree in Banking, Business or Accountancy Min 2 years of treasury dealing experience in a corporate bank A keen learner and meticulousPossess relevant CMFAS certification To apply online please use the 'apply' function, alternatively you may contact Chai Leng at 6510 1460. (EA: 94C3609/ R1108371)
    • permanent
    • S$5,000 - S$9,000 per month
    • full-time
    about the companyOur client is an international bank with a strong global presence. They are currently looking to expand their team of Relationship Managers. If you have a high level of drive, please apply.about the jobActively acquire and prospect new Offshore customers, develop and strengthen their relationships with the Bank in accordance with relevant business goals.Manage the relationships with new and existing affluent customers through professional consultative financial analysis.Provide regular market information updates and trend analysis to these customers.Excellent customer serviceskills and qualifications required:Minimum 4 years of sales experience in the banking and financial services industryAbility to manage the affluent segment, and show consistent sales performance.Recognised university degree and possess CMFAS certification (M1, M5, M6, M6A, M8, M8A, M9, M9A & HI).Sound knowledge of banking products and services including investment products such as unit trusts, bancassurance and treasury products. To apply online please use the 'apply' function, alternatively you may contact Reenie at 65103657. (EA: 94C3609/ R2198716).
    about the companyOur client is an international bank with a strong global presence. They are currently looking to expand their team of Relationship Managers. If you have a high level of drive, please apply.about the jobActively acquire and prospect new Offshore customers, develop and strengthen their relationships with the Bank in accordance with relevant business goals.Manage the relationships with new and existing affluent customers through professional consultative financial analysis.Provide regular market information updates and trend analysis to these customers.Excellent customer serviceskills and qualifications required:Minimum 4 years of sales experience in the banking and financial services industryAbility to manage the affluent segment, and show consistent sales performance.Recognised university degree and possess CMFAS certification (M1, M5, M6, M6A, M8, M8A, M9, M9A & HI).Sound knowledge of banking products and services including investment products such as unit trusts, bancassurance and treasury products. To apply online please use the 'apply' function, alternatively you may contact Reenie at 65103657. (EA: 94C3609/ R2198716).
    • permanent
    • full-time
    about the companyOur Client is a listed company and a leader within the sector they operates in with strong regional presence. As the business is growing, this is an exciting opportunity to join their business as a Group Finance manager leading a team.about the jobReporting to the Group CFO, you will lead a team to manage the monthly group consolidation and prepare quarterly SGX announcement, ensuring timely and accurate group financial reports for management and performing variance analysis. You will also handle tax and audit matters of the group and ensuring compliance to SGX listing requirements, statutory and regulatory compliance. You will also be responsible for treasury matters like cash flow management and banking facilities and other ad-hoc and projects.skills and experience requiredDegree in business/economics, finance or accountingCPA qualification or equivalent preferredWith minimum 5 years experience in Group reporting, consolidation and SGX announcementPrior working experience in SGX mainboard companies are highly desirableGood knowledge in FRS, tax and regulatory requirementsWell-developed verbal & written communication skillsMeticulous, analytical and equipped with a problem-solving mindset and can-do attitude To apply online please use the 'apply' function, alternatively you may contact Dylan Lim at 6510 1366.(EA: 94C3609/R1768186)
    about the companyOur Client is a listed company and a leader within the sector they operates in with strong regional presence. As the business is growing, this is an exciting opportunity to join their business as a Group Finance manager leading a team.about the jobReporting to the Group CFO, you will lead a team to manage the monthly group consolidation and prepare quarterly SGX announcement, ensuring timely and accurate group financial reports for management and performing variance analysis. You will also handle tax and audit matters of the group and ensuring compliance to SGX listing requirements, statutory and regulatory compliance. You will also be responsible for treasury matters like cash flow management and banking facilities and other ad-hoc and projects.skills and experience requiredDegree in business/economics, finance or accountingCPA qualification or equivalent preferredWith minimum 5 years experience in Group reporting, consolidation and SGX announcementPrior working experience in SGX mainboard companies are highly desirableGood knowledge in FRS, tax and regulatory requirementsWell-developed verbal & written communication skillsMeticulous, analytical and equipped with a problem-solving mindset and can-do attitude To apply online please use the 'apply' function, alternatively you may contact Dylan Lim at 6510 1366.(EA: 94C3609/R1768186)
    • permanent
    • full-time
    about the company. Our client is an international bank with a solid track record. They are looking for Senior Legal Counsel to help manage and advise the business on Capital Markets transactions. about the jobYour scope of duties include:Working closely with the business on Capital Markets transactions including Treasury, Securities Borrowing and Lending, custody, execution, direct market accessReviewing and facilitating in the structuring, drafting and negotiation of legal documentation and managing the documentation processAdvising and interacting with relevant internal stakeholders and external counselsManagement of legal risk in relation to financing transactions and mattersParticipating in multi-jurisdictional or transversal projects where necessary skills and experience requiredSingapore-qualified lawyer with minimum 8 years of legal experience in in capital market products with a top tier legal practice in Singapore or in-house at a capital markets service provider or prime brokerStrong stakeholder management and interpersonal skillsIndependent and self-motivated To apply online please use the 'apply' function, alternatively you may contact <Daniella Koh> at <98237297>. (EA: 94C3609/ <R1655148>)
    about the company. Our client is an international bank with a solid track record. They are looking for Senior Legal Counsel to help manage and advise the business on Capital Markets transactions. about the jobYour scope of duties include:Working closely with the business on Capital Markets transactions including Treasury, Securities Borrowing and Lending, custody, execution, direct market accessReviewing and facilitating in the structuring, drafting and negotiation of legal documentation and managing the documentation processAdvising and interacting with relevant internal stakeholders and external counselsManagement of legal risk in relation to financing transactions and mattersParticipating in multi-jurisdictional or transversal projects where necessary skills and experience requiredSingapore-qualified lawyer with minimum 8 years of legal experience in in capital market products with a top tier legal practice in Singapore or in-house at a capital markets service provider or prime brokerStrong stakeholder management and interpersonal skillsIndependent and self-motivated To apply online please use the 'apply' function, alternatively you may contact <Daniella Koh> at <98237297>. (EA: 94C3609/ <R1655148>)
    • permanent
    • S$12,000 - S$15,000 per month
    • full-time
    about the company. Our client is a global fintech company providing a wide suite of services from payments , wallets, micro-loans financing etc. Taking a market leader position within the fintech space, they are expanding their suite of products offering to include Wholesale banking products and services.about the jobSet up the market risk and liquidity risk management framework and policies of the bank to help in risk identification and mitigation measures Work closely with treasury team to optimize the fund forecasting modelFormulate liquidity management strategies such as liquidity risk management, capital cost, and capital adequacy requirementsMonitor the bank's liquidity, capital position and liquidity reserve, establish emergency funding plansConduct stress testing Work with technology team to build liquidity management platform to enhance risk management efficiency and reporting requirement about the manager/teamReporting to Chief Risk Officer, you will be expected to work independently with all internal stakeholders to set up risk framework and monitoring controls. skills and experience requiredDegree in Mathematics, Finance, or Accounting etc.Minimum 8 years of relevant experiences in the banking or financial industry in liquidity and market risk managementGood knowledge of FX and financial markets productsStrong analytical skill and ability to handle multi-tasksProficient in computer applications (MS Word, Excel, PowerPoint, SQL, data analytics tools, etc) To apply online please use the 'apply' function, alternatively you may contact Chai Leng at 6510-1460 . (EA: 94C3609/R1108371 )
    about the company. Our client is a global fintech company providing a wide suite of services from payments , wallets, micro-loans financing etc. Taking a market leader position within the fintech space, they are expanding their suite of products offering to include Wholesale banking products and services.about the jobSet up the market risk and liquidity risk management framework and policies of the bank to help in risk identification and mitigation measures Work closely with treasury team to optimize the fund forecasting modelFormulate liquidity management strategies such as liquidity risk management, capital cost, and capital adequacy requirementsMonitor the bank's liquidity, capital position and liquidity reserve, establish emergency funding plansConduct stress testing Work with technology team to build liquidity management platform to enhance risk management efficiency and reporting requirement about the manager/teamReporting to Chief Risk Officer, you will be expected to work independently with all internal stakeholders to set up risk framework and monitoring controls. skills and experience requiredDegree in Mathematics, Finance, or Accounting etc.Minimum 8 years of relevant experiences in the banking or financial industry in liquidity and market risk managementGood knowledge of FX and financial markets productsStrong analytical skill and ability to handle multi-tasksProficient in computer applications (MS Word, Excel, PowerPoint, SQL, data analytics tools, etc) To apply online please use the 'apply' function, alternatively you may contact Chai Leng at 6510-1460 . (EA: 94C3609/R1108371 )
    • contract
    • full-time
    about the company. Established for over 70 years, the Client is a leading corporate bank offering full suite of banking services to customers worldwide. They believe in grooming their employees to become the best at what they do, and offer internal mobility opportunities. about the roleProvide support in the verification of trades for Treasury products Process incoming and outgoing SWIFT messagesTally incoming confirmations against outgoing confirmationsInvestigate and follow up on discrepancies Process remittances accurately and timelyInput and update fund movementsProcess customers’ payments instructionsPerform nostro reconciliationReconcile daily broker’s confirmation slip and monthly brokerage feesEnsure submission of regulatory reports on a timely basisParticipate in projects and/or perform User Acceptance Testing skills and experience requiredMinimum DiplomaAt least 3 years of relevant experience within the Banking sectorPossess working knowledge in SWIFTUnderstanding of mainframe systemsKnowledge in MUREX systemMeticulous and detailedProficient in Microsoft Office applicationsGood communications and interpersonal skills If you would like to find out more about this role, please click apply below. Alternatively please contact Lynda Tan at 6510 7413.EA: 94C3609 / R1223887
    about the company. Established for over 70 years, the Client is a leading corporate bank offering full suite of banking services to customers worldwide. They believe in grooming their employees to become the best at what they do, and offer internal mobility opportunities. about the roleProvide support in the verification of trades for Treasury products Process incoming and outgoing SWIFT messagesTally incoming confirmations against outgoing confirmationsInvestigate and follow up on discrepancies Process remittances accurately and timelyInput and update fund movementsProcess customers’ payments instructionsPerform nostro reconciliationReconcile daily broker’s confirmation slip and monthly brokerage feesEnsure submission of regulatory reports on a timely basisParticipate in projects and/or perform User Acceptance Testing skills and experience requiredMinimum DiplomaAt least 3 years of relevant experience within the Banking sectorPossess working knowledge in SWIFTUnderstanding of mainframe systemsKnowledge in MUREX systemMeticulous and detailedProficient in Microsoft Office applicationsGood communications and interpersonal skills If you would like to find out more about this role, please click apply below. Alternatively please contact Lynda Tan at 6510 7413.EA: 94C3609 / R1223887
    • permanent
    • S$7,000 - S$10,000 per month
    • full-time
    about the companyStrong financial backing and a great vision, this crypto exchange has been growing extensively in the last few years. Constantly innovating to cater to the needs of their customers, they are currently looking for a strong Finance Business Partner for the region. about the roleIn this role, you will be building partnerships and relationships with the other business departments. You will understand the business from the financial aspects and prepares comprehensive reports to the leadership team. You will provide analysis to help the business department improve their Yield. You will also analyse tand hedge various fiat and cryptocurrency risk exposure. You will manage cash and cryptocurrency positions and forecast. about the requirementsYou should idealing possess 5-8 years of experience as a finance business partner in an exchange or in a treasury function. You are an independent leader with strong leadership skills. You are a visionary and strategic thinker with experience working for a growing operations in a fast paced industry. You are creative and takes a proactive approach to problem solving. As you will be speaking to quite a bit with the China counterparts, the ability to converse effectively in Mandarin is highly preferred in this role To apply online please use the 'apply' function, alternatively you may contact Agnes Lim at 65101355. (EA: 94C3609/ R1439933 )
    about the companyStrong financial backing and a great vision, this crypto exchange has been growing extensively in the last few years. Constantly innovating to cater to the needs of their customers, they are currently looking for a strong Finance Business Partner for the region. about the roleIn this role, you will be building partnerships and relationships with the other business departments. You will understand the business from the financial aspects and prepares comprehensive reports to the leadership team. You will provide analysis to help the business department improve their Yield. You will also analyse tand hedge various fiat and cryptocurrency risk exposure. You will manage cash and cryptocurrency positions and forecast. about the requirementsYou should idealing possess 5-8 years of experience as a finance business partner in an exchange or in a treasury function. You are an independent leader with strong leadership skills. You are a visionary and strategic thinker with experience working for a growing operations in a fast paced industry. You are creative and takes a proactive approach to problem solving. As you will be speaking to quite a bit with the China counterparts, the ability to converse effectively in Mandarin is highly preferred in this role To apply online please use the 'apply' function, alternatively you may contact Agnes Lim at 65101355. (EA: 94C3609/ R1439933 )
    • permanent
    • S$5,000 - S$9,000 per month
    • full-time
    about the companyOur client is an international bank with a strong presence in the region. As the company is always looking at further developing their clientele in the region, they are now looking to expand their team of Offshore Relationship managers.. about the jobAcquiring and prospecting new Offshore customersManaging the relationship between the new/existing customers and the bankProviding customers with a good banking experienceProviding quality professional financial analysis to help customer meet their financial objectivesProviding quality and efficent after-sales servicesEnsuring compliance with all regulations and controlsskills and experience requiredHaving a good understanding of the offshore market Able to manage the affluent customer segment and to have consistent sales performanceAmple knowledge of banking products, services as well investment products such as bancassurance, unit trusts and treasury productsGood communication skills, both written and verbalGood track record in sales and business development To apply online please use the 'apply' function, alternatively you may contact Keng Wei at +65 65106527.(EA: 94C3609/ R21100788)
    about the companyOur client is an international bank with a strong presence in the region. As the company is always looking at further developing their clientele in the region, they are now looking to expand their team of Offshore Relationship managers.. about the jobAcquiring and prospecting new Offshore customersManaging the relationship between the new/existing customers and the bankProviding customers with a good banking experienceProviding quality professional financial analysis to help customer meet their financial objectivesProviding quality and efficent after-sales servicesEnsuring compliance with all regulations and controlsskills and experience requiredHaving a good understanding of the offshore market Able to manage the affluent customer segment and to have consistent sales performanceAmple knowledge of banking products, services as well investment products such as bancassurance, unit trusts and treasury productsGood communication skills, both written and verbalGood track record in sales and business development To apply online please use the 'apply' function, alternatively you may contact Keng Wei at +65 65106527.(EA: 94C3609/ R21100788)
    • permanent
    • full-time
    about the company. A household retail brand with a long standing history achieving good performance even during the covid period through retailing, e-commerce and distribution channels. It is now looking for a Senior Finance Manager to lead their group finance function. about the jobReporting to the Finance Director, you will lead a small team with responsibilities across the full spectrum of financial accounting, management reporting and business planning. This includes: timely month end closing of entity and group level accounts, handle tax and audit mattersensure internal controls and compliance to corporate and statutory requirementstreasury matters like working capital management and cash flow planningbudgeting, forecasting and strategic planningdevelop dashboards to analyse business performance to drive revenue growth and reduce costfeasibility studies on new investments establish best practices, streamline workflows and drive system improvements skills and experience requiredTo be successful in this role, you should ideally possess:Degree in Accountancy or CA/ACCA qualifications At least 6 years of relevant working experience, with some prior years in external audit and preferably with experience within the retail industryKnowledge in SAP and strong proficiency in ExcelYou are comfortable being hands on and are confident in engaging with different functional stakeholders and across various cultures. To apply online please use the 'apply' function, alternatively you may contact Aprilyn Chan at 6510 1461.(EA: 94C3609/R1216039)
    about the company. A household retail brand with a long standing history achieving good performance even during the covid period through retailing, e-commerce and distribution channels. It is now looking for a Senior Finance Manager to lead their group finance function. about the jobReporting to the Finance Director, you will lead a small team with responsibilities across the full spectrum of financial accounting, management reporting and business planning. This includes: timely month end closing of entity and group level accounts, handle tax and audit mattersensure internal controls and compliance to corporate and statutory requirementstreasury matters like working capital management and cash flow planningbudgeting, forecasting and strategic planningdevelop dashboards to analyse business performance to drive revenue growth and reduce costfeasibility studies on new investments establish best practices, streamline workflows and drive system improvements skills and experience requiredTo be successful in this role, you should ideally possess:Degree in Accountancy or CA/ACCA qualifications At least 6 years of relevant working experience, with some prior years in external audit and preferably with experience within the retail industryKnowledge in SAP and strong proficiency in ExcelYou are comfortable being hands on and are confident in engaging with different functional stakeholders and across various cultures. To apply online please use the 'apply' function, alternatively you may contact Aprilyn Chan at 6510 1461.(EA: 94C3609/R1216039)
    • permanent
    • full-time
    about the company. Our client is a Listed Chinese MNC Commodities Trading firm and due to the needs of the business, they're looking for a new headcount for Legal Counsel - individual contributor. about the jobResponsible for the legal affairs, legal services and compliance issues of the CompanyFormulating and perfecting the rules and regulations of the Company;Advised on physical and financial trading matters, shipping and other logistics, trade finance, day-to-day operational issues and disputes, and related regulatory matters;Drafting and reviewing commercial agreements, in particular, commodity sale and purchase agreements, off-take agreements, charterparties, warehousing and freight forwarding agreements, brokerage agreements and ISDAs.Worked with local and colleagues from China, including the Group Legal function, trading and operations teams, as well as the other functional teams such as Tax, Treasury, Compliance, Governance and Risk, Finance and Insurance.Providing legal services for investment projects, including legal due diligence and negotiations;Handling the settlement of any actual or potential dispute, either by reconciliation, litigation or arbitration to protect the legitimate rights and interests of the Company;Developing and implementing compliance procedures, and handling legal compliance issues;Organising and training the employees of the Company on common legal knowledge;skills and experience requiredMinimally 5-7 post qualification experience (PQE) in large-scale international trade enterprises or reputable law firmsLegal professional qualification in SingaporeAble to work independently and as a teamStrong interpersonal and communication skillsStrong articulation skillsFamiliarity with international trade of commodities, shipping business, maritime law, legal compliance etc.Able to converse in Mandarin is an advantage (as you will be liaising with China-based colleagues) but not mandatory. To apply online please use the 'apply' function, alternatively you may contact Stella He at 92326504. (EA: 94C3609/ R1987043)
    about the company. Our client is a Listed Chinese MNC Commodities Trading firm and due to the needs of the business, they're looking for a new headcount for Legal Counsel - individual contributor. about the jobResponsible for the legal affairs, legal services and compliance issues of the CompanyFormulating and perfecting the rules and regulations of the Company;Advised on physical and financial trading matters, shipping and other logistics, trade finance, day-to-day operational issues and disputes, and related regulatory matters;Drafting and reviewing commercial agreements, in particular, commodity sale and purchase agreements, off-take agreements, charterparties, warehousing and freight forwarding agreements, brokerage agreements and ISDAs.Worked with local and colleagues from China, including the Group Legal function, trading and operations teams, as well as the other functional teams such as Tax, Treasury, Compliance, Governance and Risk, Finance and Insurance.Providing legal services for investment projects, including legal due diligence and negotiations;Handling the settlement of any actual or potential dispute, either by reconciliation, litigation or arbitration to protect the legitimate rights and interests of the Company;Developing and implementing compliance procedures, and handling legal compliance issues;Organising and training the employees of the Company on common legal knowledge;skills and experience requiredMinimally 5-7 post qualification experience (PQE) in large-scale international trade enterprises or reputable law firmsLegal professional qualification in SingaporeAble to work independently and as a teamStrong interpersonal and communication skillsStrong articulation skillsFamiliarity with international trade of commodities, shipping business, maritime law, legal compliance etc.Able to converse in Mandarin is an advantage (as you will be liaising with China-based colleagues) but not mandatory. To apply online please use the 'apply' function, alternatively you may contact Stella He at 92326504. (EA: 94C3609/ R1987043)
    • permanent
    • full-time
    about the company. Our client is an established European bank with a growing presence across the APAC region. With Singapore as its regional hub, they offer a wide suite of product offerings to its corporate and institutional clients. about the job Part of the Global Transaction Banking Sales team, you will be tasked in: Building and developing corporate relationships (primarily Local Corporates and Multinationas) to drive the corporate trade and cash sales functionWorking closely with internal stakeholders to identify potential trade finance and cash management opportunities and further grow its corporate portfolioProviding trade finance, supply chain financing and cash management advisory to the coverage team, clients and more whenever required as a product specialistConducting onboarding, KYC reviews and annual credit reviews on its corporate clients to ensure compliance to internal and regulatory standardsWorking closely with Overseas Offices to develop and cross-sell new trade and cash products and programsManaging the end to end process to ensure a smooth deal flow whilst meeting / exceeding revenue targetsAny other duties or projects as neededabout the manager / team Reporting to the Head of GTB Sales, you can look forward to be part of a lean team with good working culture and learning opportunities. skills & experience required Degree in Finance, Accountancy, Business Management, Economics or comparableHas 5+ years of Transaction Banking Sales working experience within bankingStrong trade finance and supply chain finance product knowledgeFamiliarity with cash management products (including Payments)Excellent writing and communication skillsA network in the Singapore market with the Local Corporates and MNC Treasury Centres would be idealTo apply online, please click on the appropriate link. Alternatively, please contact Adeline Lim on 6517 1629 for a confidential chat. EA: 94C3609 / R1106631
    about the company. Our client is an established European bank with a growing presence across the APAC region. With Singapore as its regional hub, they offer a wide suite of product offerings to its corporate and institutional clients. about the job Part of the Global Transaction Banking Sales team, you will be tasked in: Building and developing corporate relationships (primarily Local Corporates and Multinationas) to drive the corporate trade and cash sales functionWorking closely with internal stakeholders to identify potential trade finance and cash management opportunities and further grow its corporate portfolioProviding trade finance, supply chain financing and cash management advisory to the coverage team, clients and more whenever required as a product specialistConducting onboarding, KYC reviews and annual credit reviews on its corporate clients to ensure compliance to internal and regulatory standardsWorking closely with Overseas Offices to develop and cross-sell new trade and cash products and programsManaging the end to end process to ensure a smooth deal flow whilst meeting / exceeding revenue targetsAny other duties or projects as neededabout the manager / team Reporting to the Head of GTB Sales, you can look forward to be part of a lean team with good working culture and learning opportunities. skills & experience required Degree in Finance, Accountancy, Business Management, Economics or comparableHas 5+ years of Transaction Banking Sales working experience within bankingStrong trade finance and supply chain finance product knowledgeFamiliarity with cash management products (including Payments)Excellent writing and communication skillsA network in the Singapore market with the Local Corporates and MNC Treasury Centres would be idealTo apply online, please click on the appropriate link. Alternatively, please contact Adeline Lim on 6517 1629 for a confidential chat. EA: 94C3609 / R1106631
    • permanent
    • S$12,000 - S$15,000 per month
    • full-time
    about the companyThis is a leading e-commerce payment organization which has been in the market for more than 15 years. They have a global presence across emerging markets and they are continuing to expand.about the jobReporting to the Chief Financial Officer, you will be managing a sizable finance team with responsibility across the full spectrum of finance including tax and treasury matters. With Singapore as the key hub for the APAC region, you will continuously drive business improvements to establish best practices and lead the implementation of a new ERP system. Being a key leadership role, you will partner actively with the commercial leaders in driving strategic growth both organically and inorganically as the business has an ambitious goal to become a global leader in their space. skills and experience requiredYou are ideally degree qualified with at least 12 years work experience in a fin-tech or listed organisation as there is possibility for subsequent listing. Prior systems implementation experience, particularly in Netsuite, will be highly advantageous. You have strong business acumen and are comfortable being in a dynamic and fast-paced work environment. There will be occasional travelling requirements post covid. This is an exciting opportunity for a seasoned finance leader to be part of a fast growing business. If you are looking for a dynamic environment in a growing industry, please click the 'apply' function for a smooth easy process to register your interest and CV for the role. Alternatively, you may contact Stella Tan at 65101350 (EA: 94C3609 \R1984239). Due to a high demand for this role, we regret that only shortlisted candidates will be notified.
    about the companyThis is a leading e-commerce payment organization which has been in the market for more than 15 years. They have a global presence across emerging markets and they are continuing to expand.about the jobReporting to the Chief Financial Officer, you will be managing a sizable finance team with responsibility across the full spectrum of finance including tax and treasury matters. With Singapore as the key hub for the APAC region, you will continuously drive business improvements to establish best practices and lead the implementation of a new ERP system. Being a key leadership role, you will partner actively with the commercial leaders in driving strategic growth both organically and inorganically as the business has an ambitious goal to become a global leader in their space. skills and experience requiredYou are ideally degree qualified with at least 12 years work experience in a fin-tech or listed organisation as there is possibility for subsequent listing. Prior systems implementation experience, particularly in Netsuite, will be highly advantageous. You have strong business acumen and are comfortable being in a dynamic and fast-paced work environment. There will be occasional travelling requirements post covid. This is an exciting opportunity for a seasoned finance leader to be part of a fast growing business. If you are looking for a dynamic environment in a growing industry, please click the 'apply' function for a smooth easy process to register your interest and CV for the role. Alternatively, you may contact Stella Tan at 65101350 (EA: 94C3609 \R1984239). Due to a high demand for this role, we regret that only shortlisted candidates will be notified.
    • contract
    • full-time
    about the companyEstablished for over 90 years, the Client is a global Wholesale bank offering a full suite of global financial services and capabilities in more than 50 countries. They believe in grooming their employees to become the best at what they do, and offer internal mobility opportunities.. about the jobCoordinate strategic and business planning both locally and regionally Implement and drive key initiatives from Head Office Produce business performance reports and pipeline decks for regular business meetings, as well as provide recommendations to senior management Manage financials and budgeting process through analysis of cost allocationsAssist in implementation of financial, operational and management controls analysis and planning as well as ensure teams’ delivery into the profitability targets Work closely with Finance team for forecasts and assist in business quarterly forecasts, mid-year reviews and strategic client account plansCollaborate with various departments across Asia including Finance, Risk and Treasury to drive Business implementation Identify opportunities for systems and process enhancements skills and experience requiredMinimum Degree At least 5 years of Business Management experience within Banking & Financial Services sectorAdvanced Excel and PowerPoint skills Financial Modelling skills an added advantage Strong communications and stakeholder management skillsExcellent organisational, problem-solving and analytical skills If you would like to find out more about this role, please click apply below. Alternatively please contact Lynda Tan at 6510 7413. EA: 94C3609 / R1223887
    about the companyEstablished for over 90 years, the Client is a global Wholesale bank offering a full suite of global financial services and capabilities in more than 50 countries. They believe in grooming their employees to become the best at what they do, and offer internal mobility opportunities.. about the jobCoordinate strategic and business planning both locally and regionally Implement and drive key initiatives from Head Office Produce business performance reports and pipeline decks for regular business meetings, as well as provide recommendations to senior management Manage financials and budgeting process through analysis of cost allocationsAssist in implementation of financial, operational and management controls analysis and planning as well as ensure teams’ delivery into the profitability targets Work closely with Finance team for forecasts and assist in business quarterly forecasts, mid-year reviews and strategic client account plansCollaborate with various departments across Asia including Finance, Risk and Treasury to drive Business implementation Identify opportunities for systems and process enhancements skills and experience requiredMinimum Degree At least 5 years of Business Management experience within Banking & Financial Services sectorAdvanced Excel and PowerPoint skills Financial Modelling skills an added advantage Strong communications and stakeholder management skillsExcellent organisational, problem-solving and analytical skills If you would like to find out more about this role, please click apply below. Alternatively please contact Lynda Tan at 6510 7413. EA: 94C3609 / R1223887
    • permanent
    • full-time
    about the companyOur Client is a Global MNC with strong footprints across the world and a leader within the sector they operates in. Despite the Covid situation, their business is doing better and with a positive outlook for 2021, they are looking for a strong APAC Head of Tax to lead the team.about the jobReporting to the Regional CFO, you will manage the group tax function across the APAC region and implement the Group tax strategy and policy and guidelines, setting policies and controls to drive development, working closely with the Global Tax, finance and treasury teams. You will assist in structuring decisions and defining tax language in contract and documentation align to the Group policies. You will also ensure the tax efficient structure of funding arrangements in the region and advise on the International and local tax consequences of financial transactions. You will support implementation and monitoring of local transfer pricing activities to be consistent with Group policy and manage Transfer Pricing integration of all newly established and acquired entities. You will oversee the interaction and negotiation with tax authorities on Transfer Pricing matters at the regional level. You will oversee the current effective tax rate calculation, tax risk reporting and recommending changes to improve efficiency and accuracy in reporting. You will provide overall leadership with support from tax specialists to entities operating within the region in compliance to tax regulations and tax reporting requirements. You will implement and develop tax management system in the region in line with Group Global Tax management system and under the guidance of Group tax function. You will lead tax analysis, due diligence and advice in relation to acquisitions, disposals and reorganization in the region, identifying tax planning and savings opportunities. You will also coordinate tax risk and opportunities assessments for all current and future country operations.skills and experience requiredCA, CFA or ATA, Degree in business/economics, finance or accountingStrong experience in International tax, transfer pricing, group tax strategy, direct and indirect tax knowledge with large MNCs backgroundStrong interpersonal skills, has an outgoing nature and enjoys challenges.Able to work independently with strong stakeholder management To apply online please use the 'apply' function, alternatively you may contact Dylan Lim at 6510 1366.(EA: 94C3609/R1768186)
    about the companyOur Client is a Global MNC with strong footprints across the world and a leader within the sector they operates in. Despite the Covid situation, their business is doing better and with a positive outlook for 2021, they are looking for a strong APAC Head of Tax to lead the team.about the jobReporting to the Regional CFO, you will manage the group tax function across the APAC region and implement the Group tax strategy and policy and guidelines, setting policies and controls to drive development, working closely with the Global Tax, finance and treasury teams. You will assist in structuring decisions and defining tax language in contract and documentation align to the Group policies. You will also ensure the tax efficient structure of funding arrangements in the region and advise on the International and local tax consequences of financial transactions. You will support implementation and monitoring of local transfer pricing activities to be consistent with Group policy and manage Transfer Pricing integration of all newly established and acquired entities. You will oversee the interaction and negotiation with tax authorities on Transfer Pricing matters at the regional level. You will oversee the current effective tax rate calculation, tax risk reporting and recommending changes to improve efficiency and accuracy in reporting. You will provide overall leadership with support from tax specialists to entities operating within the region in compliance to tax regulations and tax reporting requirements. You will implement and develop tax management system in the region in line with Group Global Tax management system and under the guidance of Group tax function. You will lead tax analysis, due diligence and advice in relation to acquisitions, disposals and reorganization in the region, identifying tax planning and savings opportunities. You will also coordinate tax risk and opportunities assessments for all current and future country operations.skills and experience requiredCA, CFA or ATA, Degree in business/economics, finance or accountingStrong experience in International tax, transfer pricing, group tax strategy, direct and indirect tax knowledge with large MNCs backgroundStrong interpersonal skills, has an outgoing nature and enjoys challenges.Able to work independently with strong stakeholder management To apply online please use the 'apply' function, alternatively you may contact Dylan Lim at 6510 1366.(EA: 94C3609/R1768186)
    • permanent
    • S$6,000 - S$7,000 per month
    • full-time
    about the company. Long standing history and strong APAC presence, this US MNC has been growing organically in the APAC region. Constantly innovating to meet the changing consumer needs and behaviours while expanding their APAC market share, they are now looking for a high calibre Senior Accountant/ Finance Manager, to help drive the region’s business. about the jobReporting to the Senior Finance Manager, you will be in charge of managing Regional and Singapore Financial Statements, General Ledger, Fixed Assets, Intercompany Accounts, Balance Sheet Reconciliations, External and Internal Audit, Management Reporting and all accounting matters for Southeast Asia. You will also be responsible for financial reporting, treasury matters and assist the departments in monitoring indirect expenses and develop, maintain and enhance financial controls to safeguard the assets of the Company. Under general direction, you will be assisting the Senior Finance Manager in providing Management and key personnel with timely, accurate and relevant information forimproved decision making and preparing strategic and financial plans, including enhancing local reporting and analysis to improve productivity and quality of reporting and analysis. Your scope will include, Maintenance of general ledger in SAP and both management and legal books.Prepare monthly and yearly financial statements in accordance with Singapore FRS and US GAAP and yearend package.Prepare monthly balance sheet reconciliations correctly and timely for review by Senior Finance Manager and quarterly balance sheet reconciliations to Corporate Accounting.Coordinate and prepare yearly statutory audit and tax return by PWC and ad-hoc financial compliance audit by Internal Auditors.Provide recommendation on accounting process improvement methods.Handle accounting matters relating to sales and cost of sales and generate relevant reports.Handle matters relating to capital assets, direct and indirect expenses for the region. Supervise all GST/MES related matters for the Singapore plant.Support any plant facilities in the region for matters which are accounting related.skills and experience requiredYou should typically be a Degree holder in Accounting /ACCA, CPA preferred. You possess more than 6 years of relevant financial/management experience, preferably with audit/tax experience from big 4. You have strong knowledge of Singapore Financial Reporting Standards (FRS), proficient in SAP and MS office. You are proactive and independent and have no problem working in a team. To apply online please use the 'apply' function, alternatively you may contact Agnes at 65101355. (EA: 94C3609/ R1439933 )
    about the company. Long standing history and strong APAC presence, this US MNC has been growing organically in the APAC region. Constantly innovating to meet the changing consumer needs and behaviours while expanding their APAC market share, they are now looking for a high calibre Senior Accountant/ Finance Manager, to help drive the region’s business. about the jobReporting to the Senior Finance Manager, you will be in charge of managing Regional and Singapore Financial Statements, General Ledger, Fixed Assets, Intercompany Accounts, Balance Sheet Reconciliations, External and Internal Audit, Management Reporting and all accounting matters for Southeast Asia. You will also be responsible for financial reporting, treasury matters and assist the departments in monitoring indirect expenses and develop, maintain and enhance financial controls to safeguard the assets of the Company. Under general direction, you will be assisting the Senior Finance Manager in providing Management and key personnel with timely, accurate and relevant information forimproved decision making and preparing strategic and financial plans, including enhancing local reporting and analysis to improve productivity and quality of reporting and analysis. Your scope will include, Maintenance of general ledger in SAP and both management and legal books.Prepare monthly and yearly financial statements in accordance with Singapore FRS and US GAAP and yearend package.Prepare monthly balance sheet reconciliations correctly and timely for review by Senior Finance Manager and quarterly balance sheet reconciliations to Corporate Accounting.Coordinate and prepare yearly statutory audit and tax return by PWC and ad-hoc financial compliance audit by Internal Auditors.Provide recommendation on accounting process improvement methods.Handle accounting matters relating to sales and cost of sales and generate relevant reports.Handle matters relating to capital assets, direct and indirect expenses for the region. Supervise all GST/MES related matters for the Singapore plant.Support any plant facilities in the region for matters which are accounting related.skills and experience requiredYou should typically be a Degree holder in Accounting /ACCA, CPA preferred. You possess more than 6 years of relevant financial/management experience, preferably with audit/tax experience from big 4. You have strong knowledge of Singapore Financial Reporting Standards (FRS), proficient in SAP and MS office. You are proactive and independent and have no problem working in a team. To apply online please use the 'apply' function, alternatively you may contact Agnes at 65101355. (EA: 94C3609/ R1439933 )

Thank you for subscribing to your personalised job alerts.

It looks like you want to switch your language. This will reset your filters on your current job search.