Our client is a well-established Singapore-based landscaping and horticulture company that provides greenery solutions for residential, commercial, and public spaces. The organisation offers a full range of services including landscape design, plant supply, installation, and maintenance, supporting projects such as offices, condominiums, shopping malls, and outdoor environments. With decades of experience in the industry, the company focuses on creating and maintaining sustainable green spaces across Singapore.
Job Summary
Compile and analyze financial and management reports to support strategic decision-making for Corporate Group and Trust-related companies. Lead finance operations including banking, FX hedging, and audit coordination while ensuring regulatory compliance and accuracy across accounting functions.
Responsibilities
Compile monthly Management Information System, Board, Treasury, Miscellaneous Reports, and Annual Budgets for Corporate Group and Trust-related companies to inform business strategy
Manage finance activities such as banking transactions and foreign exchange hedging to optimize financial performance and risk management
Review and ensure accuracy and compliance of work performed by Junior Accountants to maintain high-quality financial records
Coordinate with Corporate Secretarial teams to oversee secretarial services, ensuring adherence to regulatory requirements and corporate governance standards
Assist in quarterly and annual reviews and audits by consolidating financial data, addressing audit queries, and managing inquiries from governmental and tax authorities
Liaise with tax professionals to manage tax matters across multiple jurisdictions, ensuring compliance and timely resolution
Review, compile, maintain, and approve daily payment schedules, purchase orders via ERP systems, cheques, and internet banking transactions to control cash flow
Review monthly, quarterly, and annual accounts of Corporate Group and Trust-related companies to ensure accuracy and completeness
Delegate and review monthly journal entries for Corporate Group and Trust-related companies to maintain accurate accounting records
Prepare and delegate annual and quarterly consolidated accounts to provide comprehensive financial overviews
Prepare monthly debt schedules for Corporate Group companies to monitor liabilities and support financial planning
Coordinate with external accountants for preparation and review of quarterly accounts for specific Corporate Group and Trust-related companies to ensure compliance and accuracy
Manage compliance and Know Your Customer (KYC) matters for Corporate Group and Trust-related companies, ensuring adherence to regulatory requirements and best practices
Requirements
Bachelor’s degree in Accounting, Finance, or related field
Professional certifications such as CPA or ACCA
Minimum 3-5 years of accounting or finance experience
Proficiency in accounting software such as ERP systems
Strong organizational skills with a keen eye for detail
Ability to work effectively under tight deadlines
Dessere Leong
JAC Recruitment Pte Ltd
EA License Number: 90C3026
EA Personnel: R22107461
#LI-JACSG #countrysingapore
