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Accounts Admin

Job Summary

Join Ohmyhome as an Accounts Admin to manage daily financial operations, ensure statutory compliance, and handle Claims Tribunals, supporting smooth financial administration and dispute resolution.

Responsibilities

  • Maintain full or partial sets of accounts, including Accounts Payable (AP) and Accounts Receivable (AR), to ensure accurate financial records
  • Perform daily data entry of invoices, payment vouchers, and receipts into accounting systems such as Xero, QuickBooks, or SAP to maintain up-to-date financial data
  • Prepare bank reconciliations and petty cash reports to verify financial accuracy and control cash flow
  • Assist in preparing financial statements and management reports to support business decision-making
  • Ensure compliance with GST regulations and assist with GST submissions to meet statutory requirements
  • Act as the primary contact for claims filed against or initiated by the company, managing tribunal-related financial disputes
  • Prepare supporting documents for tribunal hearings to facilitate dispute resolution
  • Liaise with legal counsel and represent company in pre-trial mediation sessions to protect company interests
  • Coordinate with internal departments such as Sales and Operations to verify billing accuracy and resolve discrepancies
  • Assist with year-end audit preparations and statutory filings to ensure compliance and audit readiness

Required competencies and certifications

  • LCCI Diploma/Certificate in Accounting or equivalent, as mandated for accounting proficiency
  • Proven experience handling cases at the Small Claims Tribunals (SCT) in Singapore, essential for managing tribunal disputes
  • Minimum 2 years of experience in an administrative accounting role to perform core financial duties
  • Familiarity with Singapore’s financial reporting standards and GST regulations to ensure compliance
  • Proficiency in Microsoft Excel and accounting software to execute financial tasks accurately
  • High level of integrity and attention to detail to maintain accurate and trustworthy financial records
  • Ability to work independently and manage tight deadlines to support efficient financial operations

See also

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