Назад
21 час назад

Senior Finance and Accounting

Тип работы
fulltime
Грейд
senior
Страна
Singapore
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Описание вакансии

TL;DR
Senior Finance and Accounting (Finance and Accounting): Supporting financial reporting, planning, budgeting, forecasting, and variance analysis across Singapore, Germany, and India with an accent on consolidation, tax compliance, treasury, and internal controls. Focus on managing month-end close, coordinating audits, improving finance processes through automation, and preparing board materials.

Senior Finance and Accounting

Company

Affinidi

Conditions

5 days ago Senior Singapore, Central, Singapore Accounting Jobs by Affinidi

Skills

Accounting Accounts Payable Ai Auditing Automation Banking Billing Budgeting Consolidation Finance Financial Reporting Financial Statements Forecasting Ifrs Internal Controls Netsuite Planning Sfrs Tax Compliance Treasury Variance Analysis

Candidate Availability

Singapore · Required Required and preferred rules are kept separate and reflect the wording in the original posting.

About the Role

You will support financial reporting planning budgeting forecasting and variance analysis across Singapore Germany and India. You will oversee accounting vendors, tax compliance, accounts payable, treasury, billing, reimbursements, intercompany transactions, month-end close, audits, financial controls, and board materials.

Requirements

  • Degree in Accounting or ACCA qualification
  • Chartered Accountant or CPA qualification preferred
  • At least 4 years of experience in finance or audit
  • Knowledge of IFRS and SFRS
  • Familiarity with Indian and German accounting standards preferred
  • Experience handling full sets of accounts and financial consolidation
  • Experience drafting financial statements and forecasts
  • Knowledge and use of AI tools
  • Experience in process improvement and automation
  • Proficiency in Netsuite is advantageous

Responsibilities

  • Support reporting planning budgeting forecasting and variance analysis
  • Coordinate accounting and payment vendors
  • Oversee accounts payable banking treasury and intercompany transactions
  • Manage month-end closing and financial reporting
  • Coordinate tax filings and statutory compliance
  • Oversee expense claims and employee reimbursements
  • Prepare internal and external financial reports
  • Review financial performance and identify trends and anomalies
  • Provide insights for working capital management
  • Establish and reinforce internal controls
  • Oversee customer billing
  • Support annual audits
  • Prepare board meeting materials

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