Analyst, Accounting - Singapore - ABAXX SINGAPORE PTE. LTD.

    ABAXX SINGAPORE PTE. LTD.
    ABAXX SINGAPORE PTE. LTD. Singapore

    2 weeks ago

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    Description
    Roles & Responsibilities

    Responsibilities

    1. Treasury Operation

    • Perform daily bank reconciliation of clearing house collateral accounts and recording of collaterals in the finance system,
    • Generate daily collateral positions report for management and risk management,
    • Weekly cash forecast of corporate and settlement funds, recommend investment options for excess liquidity
    • Placement of fund on approved investment product, account for accrued and actualized income from investments,
    • Prepare monthly key risk indicators (KRI) report for submission to management,
    • Prepare quarterly financial reports for submission to MAS.
    • Set up new settlement and corporate bank accounts and liaise with banks as and when required.

    2. TreasuryManagement

    • Maintain market data on foreign exchange and interest rate, and to identify corporate and settlement exposure to foreign exchange and interest rates risks
    • Recommend strategies to mitigate treasury risk exposure and execute mitigation strategies.
    • Arrangement and management of credit facility and credit insurance to support the exchange and clearing house pool of liquidity

    3. Finance Operation

    • Support invoicing and collection operations,
    • Work with commercial and operations to monitor and generate non-routine invoices such as fee for odd lots, rebates, etc.
    • Prepare revenue and update forecast
    • Perform AP and payment function as and when necessary

    4. Reporting and Audits

    • Support all aspects of MAS reporting covering daily, monthly, quarterly, and annual financial submission to MAS,
    • Prepare various financial reports/presentation for
    • Participate in annual internal and external audits and other audit as and when required

    5. Internal Controls and Digitalisation

    • Support the enterprise's effort in digitalisation with focus on optimizing internal control and manual intervention between systems

    6. Participate in projects and various management initiatives.

    Requirements

    • Bachelor's degree holder in related field, major in Commerce, Accounting, Finance is required.
    • A post graduate study in related field is preferred.
    • Minimum 5 years of relevant working experience in MNCs, finance industry or international accounting firms is required.
    • 1 to 2 years of experienced with treasury/cash management, FX execution will be an advantage.
    • Knowledge of derivatives, investment products will be a plus.
    • Familiar with financial reporting standards (IFRS, US GAAP, SFRS), Securities and Futures Act, regulatory reporting will be an advantage.
    • Proficient with Excel, Words, PowerPoint is required and experienced with Oracle NetSuite and knowledge of other workspace collaboration tools will be advantageous.
    • Self-starter with strong numerical, analytical, and problem resolution skills.
    Tell employers what skills you have

    Treasury Operations
    IFRS
    Accounts Payable
    Treasury
    Oracle
    Treasury Management
    Cash Forecast
    Financial reports
    Invoicing
    Finance Operations
    Bank Reconciliation
    Accounts Receivable
    Collections
    Foreign Exchange Management
    Cash Management
    US GAAP
    Financial Closing
    Audit
    Financial Reporting