Job Description:
Manage full-set accounts across 9 MCST portfolio entities, driving accurate month-end closing, financial reporting, and bank reconciliations.
Drive AR and AP functions, executing prompt billing, collections, demand letters, and vendor disbursements.
Direct legal and administrative compliance, including Section 47 ownership updates, legal escalation for chronic arrears, and external audit coordination.
Prepare and submit quarterly GST reconciliation reports and IRAS returns across registered entities.
Advise clients and internal partners on financial disclosures, accounting policy compliance, and operational queries.
Other duties assigned by the Management.
Requirements:
Degree/ACCA/Diploma in Accounting
Minimum 2 years experiences (Preferably in CPA firm) is a plus
Ability to meet data entry performance targets (e.g. transaction processing volume per hour)
Proficient in Microsoft Office (Word, Excel, PowerPoint)
Strong organizational and time management skills
Good written and verbal communication skills
Ability to work independently and as part of a team
SUNPROP PROPERTY & ASSET MANAGEMENT CONSULTANTS PTE. LTD.