Finance Executive
Summary
Oversee full-cycle accounting for multiple entities, including AP/AR/GL, reconciliations, and financial reporting in Xero/NetSuite.
Key Responsibilities:
- Manage full set of accounts for multiple entities
- Handle AP, AR, GL, bank reconciliations, and month-end/year-end closing
- Prepare monthly financial reports and management accounts
- Maintain accurate accounting records and ensure statutory compliance
- Process intercompany transactions and reconciliations
- Support accounting system migration (Xero to NetSuite) and process improvements
- Liaise with auditors, tax agents, and external stakeholders
- Assist with finance projects and other ad hoc accounting duties
Requirements:
- Experience in AP, AR, GL, month-end closing, and financial reporting
- Proficient in Xero and/or NetSuite (preferred)
- Knowledge of intercompany accounting is an advantage
Celine Chua | EA Reg No. R26161036 | EA License No. 05C3451