Oversee overall accounting operations; ensure timely completion of month-end and year-end closing; and prepare financial statements in accordance with Singapore Financial Reporting Standards (SFRS).
Manage group-level financial consolidation; handle intercompany reconciliations, elimination of related-party transactions, and expense allocations.
Review general ledger, accounts receivable/payable, fixed assets, and bank reconciliations to ensure data accuracy and compliance.
Prepare management reports, operational analysis reports, and budget-versus-actual variance analyses to provide data support for management decision-making.