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Showing 9 jobs
Skills:
Profit and loss statements, Accounting Principles, Finance Transformation, Process improvement, General ledger reconciliations, Financial reporting, Management reports, Balance sheets, Cost Control
Skills:
Full sets of accounts, Group Consolidated Financial Reports, Bank Reconciliations, Bookkeeping, GST return submissions, General Ledger, Tax submissions, Financial reporting, Accounts Payable
Skills:
Excel, Intercompany reconciliations, Payroll Processing, Statutory Reporting, Process improvement, Finance systems enhancement, Accounts Payable management, Full-cycle accounting, Variance Analysis, Financial reporting, Audit Support
Skills:
Statutory Reporting, ERP systems, IFRS, Gst, month-end and year-end closing, Journal Entries, process improvement, Finance Transformation, local accounting standards, intercompany reconciliations and settlements, System Implementation, balance sheet reconciliations, General Ledger, accruals and provisions, Corporate Tax, statutory financial statements
Skills:
Singapore Financial Reporting Standards (SFRS), Software Implementation, Xero, Bookkeeping, Process improvement, Gst, Navision, Workflow enhancements, XBRL filings, Payroll, Microsoft Office Excel, Corporate Tax, Accounting Software
Skills:
Mark-to-market (MTM) accounting, Monthly financial closing, General Ledger, Accounts Receivable, Trade inventory reconciliations, Full-set accounting operations, Derivative inventory valuation, Accounts Payable
Skills:
Financial Governance, ERP systems, Oracle Netsuite, IFRS, Account mappings, Month-end close, SFRS, Group reporting, Financial Statements, Statutory Reporting, Financial reporting, Consolidation accounting, Management reports, Reconciliations
Skills:
Financial planning and analysis (FP&A), Power Bi, Automation, Sql, Data Visualisation, Excel, AI Copilot, Financial Modelling, SAP S/4HANA, Analytics, Business intelligence, Finance Transformation, Group financial reporting and consolidation, IFRS
Skills:
Accounts Payable (AP), Accounts Receivable (AR), Ms Office, Subsidiary Accounts and Consolidation, General Ledger, Month-End and Year-End Closing, Project Accounting, Financial Reporting, Bank Reconciliations
