Maintain the full set of accounts for the Singapore operations. This includes managing the general ledger by recording all journal entries and transactions (revenues, expenses, accruals, provisions) accurately and on a timely basis.
Prepare monthly, quarterly, and annual financial statements (P&L, balance sheet, cash flow) and management reports in accordance with Singapore Financial Reporting Standards (SFRS) and corporate accounting policies. Ensure that financial reports are delivered on time and reflect true and fair views of the company’s performance.
Oversee accounts payable and accounts receivable functions: verify and post vendor invoices, process payment runs, issue customer invoices, and monitor collections. Ensure AP/AR ledgers are reconciled, and overdue receivables are followed up promptly.
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Maintain the full set of accounts for the Singapore operations. This includes managing the general ledger by recording all journal entries and transactions (revenues, expenses, accruals, provisions) accurately and on a timely basis.
Prepare monthly, quarterly, and annual financial statements (P&L, balance sheet, cash flow) and management reports in accordance with Singapore Financial Reporting Standards (SFRS) and corporate accounting policies. Ensure that financial reports are delivered on time and reflect true and fair views of the company’s performance.
Oversee accounts payable and accounts receivable functions: verify and post vendor invoices, process payment runs, issue customer invoices, and monitor collections. Ensure AP/AR ledgers are reconciled, and overdue receivables are followed up promptly.
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Regional treasury exposureGroup level roleOpportunity for growth
This is a group level Corporate Treasury Specialist role, managing end-to-end treasury activities including daily cash positioning, liquidity movements, settlement funding, and regulatory reporting, while ensuring compliance with payments, wallets, and lending frameworks. Your role will also partner with Product, Risk, and banks to support launches, improve funds flow, and scale treasury operations. Contribute to any automation or improvement projects relating to Treasury systems.
The ideal candidate comes with at least 6 years’ treasury experience in fintech/payments/digital debt-financing experience, with strong knowledge of liquidity, settlement cycles, and regulatory requirements. Strong communication skills and stakeholder management skills are a pre-requisite. Please note that any extensions or conversions of the contract role is subjected to the business needs and individual performance.
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