Treasury & Accounting Manager ID:36577

7,000 SGD ~ 9,000 SGDCity5日 ago

概述

  • 薪资

    7,000 SGD ~ 9,000 SGD

  • 产业类别

    Finance(Other)

  • 工作内容

    Our client is seeking a Treasury & Accounting Manager to support treasury operations—including global cash pooling—and lead full-spectrum accounting functions.


    【 Responsibilities 】

    1) Process Creation & Optimization
    - Design and implement treasury policies, controls, and best practices across the group to enhance efficiency, scalability, and risk control in collaboration with the finance team.
    - Support ad-hoc strategic initiatives and ensure flexibility in managing time-sensitive projects.

    2) Cash Management
    - Monitor daily cash positions and manage regional liquidity.
    - Execute and oversee global cash pooling operations.
    - Forecast cash flows to ensure sufficient funding for operational needs.
    - Review and validate domestic and cross-border payments.
    - Support budget planning and performance tracking.

    3) Funding & Capital Planning
    - Monitor and account for inter-company loans and debt obligations.
    - Prepare audit schedules for inter-company loans.
    - Build and maintain strong relationships with banking partners.

    4) Other Treasury Duties
    - Provide support on FX and trade finance matters.
    - Record and report treasury activities (e.g., FX transactions, loans, interest).
    - Maintain the Treasury Management System (TMS) and bank platforms.
    - Support tax and audit-related treasury compliance (e.g., confirmations, documentation).

    5) Financial Accounting
    - Lead the full set of accounts, from input validation to final reporting.
    - Manage monthly closings and prepare financial reports: Profit & Loss, Balance Sheet, and Cash Flow statements.
    - Handle corporate tax submissions, GST/VAT filings, and statutory compliance.
    - Coordinate quarterly consolidation reporting and lead year-end closing and financial statement preparation.
    - Ensure compliance with GAAP/IFRS and group reporting standards.

    7) Budgeting, Payroll & Cash Flow
    - Support budgeting and forecasting cycles.
    - Process payroll and statutory contributions accurately and timely.
    - Monitor working capital and optimize overall cash flow utilization.

资格

  • 应征条件

    【 Requirements & Preferences 】

    (Must)
    - Degree in Accounting, Finance, or relevant field. ACCA, CA, or CPA certified.
    - 3-5 years of full set accounting experience including monthly and annual reporting.
    - 2-4 years of hands-on treasury experience, preferably with cash pooling and regional operations.-
    - Proven experience managing a team of 2 or more.
    - Strong knowledge of SAP (SAP B1 or SAP S/4 HANA)
    - Treasury systems and online banking portals
    - Advanced Microsoft Excel skills (Pivot tables, VLOOKUP, etc.).
    - Excellent knowledge of GAAP/IFRS.
    - Strong analytical, communication, and problem-solving skills.
    - Detail-oriented and able to manage tight deadlines.

    (Advantageous)
    - Experience in setting up and managing global cash pooling structures.
    - Familiarity with IFRS-based regional financial reporting.
    - Proven leadership in building finance or treasury teams.

  • 英文

    -

  • 其他语言

    -

附加信息

  • 福利制度

    【 What you will receive 】
    - Variable Bonus (Depends on Company and Individual performance)
    - Annual Leave: 14 days (increasing up to a maximum of 21 days)
    - Medical Leave
    - Comprehensive Medical Health Insurance (Available after the probation period)
    - Work-from-Home Flexibility: Up to 50% per week, subject to company policy

  • 工作时间

    9:00 ~ 18:00

  • 假日

    -

  • 职业类别