Key Responsibilities
• Manage end-to-end bank payment and claims processing(domestic/international), ensuring compliance with Singaporean regulations andcompany policies.
• Oversee internal fund management: weekly cash flow updates,forecasting, fund allocation and intercompany transaction reconciliation.
• Handle core accounting tasks: monthly management accounts, financialstatements, fixed asset register maintenance and bank reconciliation.
• Assist with GST filings, budgeting, forecasting, tax matters,compliance and statutory filings.
• Manage bank account operations (opening, AML/KYC checks) and liaisewith external service providers (auditors, tax agents) and internalstakeholders.
• Support annual audits and take on ad-hoc finance/administrativeduties as required
Requirements & Qualifications
• Bachelor’s degree in Accounting, Finance or related field.
• 2–3 years of relevant experience in payment processing, fundmanagement and accounting (preferably in PE, fund management or family officein Singapore).
• Familiarity with Singapore’s financial regulations, MAS requirementsand local payment systems (essential).
• Proficient in accounting software and Microsoft Excel (financialanalysis).
• Meticulous, with strong problem-solving skills and ability tomultitask in a fast-paced environment.
• Excellent written/spoken English and interpersonal communicationskills.
• High integrity, confidentiality, sense of ownership and initiative.
• Collaborative, eager to learn and hands-on; ACCA/CPA Singapore
certification is an advantage.