Accountant | 6 Months | Changi | UP to $6000 - #1165122
PERSOL
Reconcile and review intercompany balances across various entities to ensure accuracy and completeness.
Gather, analyze, and consolidate financial and accounting information from ERP systems and other financial sources.
Prepare schedules, working papers, and supporting documentation to facilitate intercompany settlement activities.
Collaborate with internal finance teams to verify outstanding balances and investigate discrepancies.
Compile and manage documentation for cross-border fund transfers, debt forgiveness arrangements, and other settlement transactions.
Coordinate with external stakeholders, including auditors, banks, tax advisors, and corporate service providers, to support transaction execution.
Monitor settlement progress and maintain comprehensive records of actions and outcomes.
Assist in preparing required documentation for corporate restructuring and liquidation exercises.
Contribute to finance-related projects such as entity liquidations, tax audits, and tax health reviews.
Maintain organized records of tax filings, correspondence, and supporting documents.
Prepare annual financial statements and supporting schedules for dormant entities, including account reconciliations and compliance with statutory and accounting requirements.
Compile financial information, schedules, and supporting documents required by external tax agents for tax filing purposes and address related queries promptly.
Work closely with auditors, tax advisors, corporate secretaries, and other stakeholders to ensure timely completion of statutory, tax, and financial reporting obligations.
Ensure proper filing, retention, and maintenance of accounting records and supporting documentation for audit, tax, and governance requirements.
Manage month-end closing activities for dormant overseas entities.
Undertake additional finance, operational, or project-related responsibilities as assigned.
Diploma or Degree in Accounting, Accountancy, Finance, or a related field.
Minimum 4 years of relevant experience in accounting or finance. Exposure to financial reporting, intercompany accounting, tax compliance, treasury functions, or corporate restructuring/liquidation activities is advantageous.
Solid understanding of accounting standards, financial reporting practices, and account reconciliation processes.
Experience preparing statutory financial statements and supporting tax compliance activities is preferred.
Strong analytical and problem-solving skills with the ability to interpret and evaluate financial data.
Advanced proficiency in Microsoft Excel; experience with Microsoft Dynamics 365 Business Central (BC) is a plus.
Effective communication and stakeholder management abilities, with experience coordinating across internal teams and external parties.
Self-motivated and capable of working independently while contributing collaboratively within a team environment
We regret to inform that only shortlisted candidates will be notified.
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PERSOL Singapore Pte Ltd • RCB No. 200007268E • EA License No. 01C4394• Reg No: R25159078 (Ng Ding Ren Aloysius)
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