Accounts Executive
Summary
Manages full accounting cycles for client portfolios, including reconciliations, reporting, and compliance coordination in Singapore.
- Handle full sets of accounts for a portfolio of clients, including cash flow management, bank reconciliations, and month-end/year-end closing.
- Perform accurate accounting data entries and maintain proper accounting records.
- Prepare financial reports and supporting schedules.
- Coordinate with clients, auditors, tax agents, and relevant authorities.
- Liaise with clients to resolve accounting queries and ensure timely submission of financial information.
- Assist senior and team members if necessary.