Contract Duration:
6–12 months maternity cover
Salary:
Up to $4,500/month
Job Scope
Reporting to Finance Manager, this position is responsible for supporting accounting activities relating to master record creation, intercompany billing and/or vessel accounting for a designated portfolio of entities. The role includes reviewing and validating the accuracy and completeness of operational accounting data received to support timely and reliable financial reporting.
Job Accountabilities / Key Responsibilities
Ensure timely and accurate recording of accounting entries and completion of GL closing routines, including preparation of the monthly reporting pack
Prepare vessel accounting-related adjustments
Assist with intercompany recharges
Ensure prepayments are accurately amortised and relevant accruals are properly recorded
Review supplier onboarding documentation and facilitate supplier master record setup
Perform balance sheet reconciliations for designated entities
Liaise with auditors and tax agents on statutory audit and tax compliance matters
Actively follow up on outstanding matters from prior months to ensure timely and appropriate resolution
Requirements
The ideal candidate is a proactive learner with an inquisitive mindset, strong attention to detail and a collaborative approach. He/she is meticulous, able to work independently with minimal guidance and capable of meeting tight deadlines. When faced with challenging situations, he/she takes initiative to seek clarification, resolve issues and ensure tasks are completed accurately and efficiently.
Diploma/Degree in Accountancy
Experience with Oracle Fusion is preferred but not mandatory
1 to 3 years of relevant working experience
We regret to inform that only shortlisted candidates will be notified.
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