Wednesday, August 13, 2008

Singapore - Finance Officer

Finance Officer Our client, an established financial institutional is seeking for a Finance Officer

Key Responsibilities:

Preparation of various reporting for the Branch
Handling Accounts Receivable and Payable functions
Preparation for year-end reporting requirements for audit purpose
Any other adhoc projects where necessary
Key Requirements

A Diploma in Finance/Accounting with minimum 3 years’ relevant experience (Banking experience preferred)
Meticulous with excellent interpersonal and communication skill
Posses good numeric and analytical skills


Interested candidates with the above credentials, please send in your applications. We regret to inform that only shortlisted candidates will be contacted.

Singapore - Accountant

Accountant Responsibilities:

Oversee and handle full set of accounts including AP, AR, GL, inter-company reconciliations, bank reconciliations, cash flow management etc.
Manage the full spectrum of the accounting and treasury function with the Finance Manager.
Prepare and analyse management and financial reports.
Assist in reviewing, control and analysis of business operation/expenses.
Review month end journals and schedules.
Inter-company billing or accounting matters.
Continuously identify areas for improvements in operational and reporting efficiency.
Assist in compliance of statutory requirements (GST, double tax deduction, mandatory regulatory reporting, etc).
Liaise with external auditors, financial institutions etc.
Lead and manage a team of accounting staff.
Requirements:

Degree in Accountancy, ACCA or CPA.
At least 5 years of working experience in accounting.
Applicants should be Singaporean or Singapore PR.
Applicants must be proficient in MS Excel and be very familiar with GL.
Applicantsshould also be meticulous, systematic and analytical.


The selected candidate will be offered a competitive remuneration.

Our Company is located in Jurong and candidates residing in the West are preferred. Transport is provided in the West / at Boon Lay MRT Station.

Interested candidates are invited to submit a comprehensive resume, stating expected salary and date availability together with a recent photograph to the following:

hr@kimhock.com.sg

We regret that only short listed candidates will be notified

Singapore - Accounts Executive (GL)

Accounts Executive (GL) Responsibilities: Responsible for monthly closing of accounts.
Maintain Fixed Asset register etc.
Prepare financial statements and management reports.
Inter-company billings.
Reconciliation of bank and inter-company balances.
Credit control management.
Assist Finance Manager in ad-hoc assignment.
Job Duties:

Prepare month-end journal entry accruals, amortization, reclassifications etc. and complete month-end closing timely and accurately.
Ensure that all transactions are accurately and timely posted within the GL.
Perform applicable reconciliations between the General Ledger and various trial balances.
Prepare and distribute all monthly financial reports on a timely and accurate basis.


Requirements:Minimum Diploma in Accountancy from recognized institutions or LCCI.
At least 3 years of relevant experience in handling full set of accounts.
Possess good attitude, proactive and meticulous.
Experience in trading company will be an advantage.
Able to start work immediately or within short notice preferred.
Our Company is located in Jurong and candidates residing in the West are preferred. Transport is provided in the West / at Boon Lay MRT Station.

Interested candidates are invited to submit a comprehensive resume, stating expected salary and date availability together with a recent photograph to the following:

hr@kimhock.com.sg

We regret that only short listed candidates will be notified

Singapore - Operation Executive (LC Documentations)

Operation Executive (LC Documentations) Our Client, a market leader in managing the global supply chain of agricultural, industrial and energy products is searching for a dynamic candidate to join their team

Requirements

Min "O' / "A" / Diploma in Banking and Finance or any disciplineMinimum 2 years of experience in Bills / Trade Service Dept
Strong LC operations experience (Bank LC Checker preferable)
Proven record of capability to perform tasks assigned systematically in dynamic business environment
In-depth experience to perform daily operations meticulously and promptly
Strong knowledge of ICC UCP 600 and Incoterms 2000
Proficient in Ms Excel and Words
Strong organizational skills and highly competence to vet complicated foreign LC
Highly competent in solving problem engaging with complex LC
A committed team player and problem solver
Detail-oriented and proactively improve service quality
Responsibilities:

Handle full spectrum of LC operating functions for the commodity trading in Cotton Div.
Proactively engage and advise Trader on import / export LC opening / negotiation matters
Talk initiative to elimate LC terms and conditions and may create monetary risk
Prepare LC application for opening LC and liaise with Banks for LC documents presentation
Vet through import / Export LC terms and conditions and advise amendment promptly
Perform Order processing / Shipping Instruction making
Organize required documents for LC Negotiation / Documentary collection against LC (DA / DP)
Ensure accurate and timely submission of documents to bank and data entry
Monitor inflow and outflow of funds engaging with global trade transactions
Location:

Alexandra Road (Feedle Bus service at Harbour Front MRT Station)
Working Hours:

9am - 6pm (Monday - Friday)
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Interested applicant, please email detailed resume to sharon@global21hr.com.sg

Singapore - Treasury Analyst

Treasury Analyst DUTIES AND RESPONSIBILITIES

Operational support Supporting the daily activities of the Regional Treasury Centre
Prepare Daily Cash “Positioning”;
Prepare cash flow forecast report and analysis of forecast for various countries on a monthly basis
Monitor the cash flow forecast of NCR subsidiaries on a weekly basis and determine excess cash pools and identify significant funding shortfalls and surpluses.

Manage short-term investmentsUsing different instruments to maximize interest income for the legal entities in the region
Track liquidity rating in the market;
Maximize interest income;
Manage investments within company policy;

Reconcile & record financial transactions Prepare treasury documents for subsidiaries on or before the due date of the month end calendar;
Ensure cash transactions have been posted correctly during month end review;
Perform Treasury reconciliation on a monthly basis
Ensure accurate treasury data posted during month end and quarter end close

Manage loan documentation for inter-company and external financingDistribute loan and /or promissory agreements to the proper individuals at the affected entities and ensure that documents are duly executed and filed.
Provide timely updates for interest rate re-adjustments and notify affected entities.
Coordinate with HQ and/or bank ensuring effective loan and interest settlement.

Manage “urgent payments” and netting arrangement for the region
Administer / coordinate bank documentation
Ensure financial controls are adequate to safeguard company funds, financial reports and documents. Recommend improvements when and where necessary.


Essential Requirements

Bachelor’s Degree in Accounting or Finance
At least 2 +- 4 years of experience and knowledgeable in Treasury Cash Management functions of a multi-national corporation;
Excellent foundation and understanding of accounting and financial reporting
Excellent knowledge various instruments for short term investments
Exposed to SEA market and have proven experience in managing countries like Malaysia, Indonesia, Singapore, Brunei, Thailand and Philippines
Experience and knowledge of ERP (Oracle) and accounting will be an asset;
Self-motivated, ability to work independently;
Good communicate and organizational skills
Exceptional written and verbal communication skills in English and additional Asian language such as Bahasa Malaysia or Bahasa Indonesia will be preferred
Excellent analytical skills


Please apply on http://www.ncr.com/careers and reference to job id 130824

Singapore - Finance Officer

Finance Officer Our client, an established financial institutional is seeking for a Finance Officer

Key Responsibilities:

Preparation of various reporting for the Branch
Handling Accounts Receivable and Payable functions
Preparation for year-end reporting requirements for audit purpose
Any other adhoc projects where necessary
Key Requirements

A Diploma in Finance/Accounting with minimum 3 years’ relevant experience (Banking experience preferred)
Meticulous with excellent interpersonal and communication skill
Posses good numeric and analytical skills


Interested candidates with the above credentials, please send in your applications. We regret to inform that only shortlisted candidates will be contacted.

Singapore - Business Manager

Business Manager In their continuous pursuit to strengthen the management team in order to ensure a sustainable competitive edge, a leading bank is seeking to invite a experience professional to join them as Business Manager.

The successful candidate will play an important role to provide guidance, advising and ensuring provision of efficient and effective delivery channel of the wide range of banking products

He / she will also be involved in implementing and evaluatingsales strategies, pricing policies and products development. In addition, you will actively engage planning and conceptualize business plans to enhance bank’s business cutting edge.

Candidates should have at least 5 years of banking experience in BankingSales,business planningor strategies development. You should also be familiar with a good range of banking products.

Experienced Relationship Managersor Branch Manager looking to further develop theirmanagementskillsare welcome to apply.

A competitive salary, coupled with encouragement to assume responsibility indynamic environment,this role is one of the most exciting opportunities to have arisen for some time.

Interested candidates are welcome to send their CVs to cvjyeo@rpint.com

Click HEREfor more roles that RP Financial Service is working on.

RP International Resources Pte Ltd is a registered entity in the Republic of Singapore. License number C919401A.

Singapore - Accounts Assistant

Accounts Assistant

We are looking for a responsible and conscientious person to work as an accounts assistant.

Basic computer and accounting knowledge is helpful.
Proficient in English and/or Mandarin.
Pay will be commensurate with knowledge and experience.
Non-PR welcomed.


Interested parties please forward your resume to hr@linefast.com

We are sorry that only shortlisted candidates will be notified.

Singapore - AVP - Corporate Banking VP

VP / AVP - Corporate Banking Responsibilities- Manage and grow a portfolio of corporate accounts- Maximise the profits through successful marketing of relevant banking products- Maintaining excellent relationships with the clientsRequirements

- A recognized Degree in Banking, Finance or related field- At least 5 - 8 years of relevant corporate banking experience- Experience with managing corporate clients in either GLCs or conglomerate MNCs- Good knowledge of credit/financial analysis- Innovative and resourceful- Strong interpersonal and communication skills- Dynamic and motivated

Remuneration and position will commensurate with experience.

Qualified applicants are invited to apply with their CVs in MS WORDS format via email tobanking@richemondasia.com, stating their current & expected remuneration, notice period and a recent photograph. We regret that only shortlisted candidates will be notified.

Singapore - Finance Institution) Market Research Analyst (in a Bank

Market Research Analyst (in a Bank/Finance Institution) Responsibilities:

This position with a foreign bank involves conducting qualitative & quantitative research in breadth and depth on various industries (eg. energy, power, metal or commodities) across Asia. Such timely information and market intelligence will be used to produce comprehensive reports to support the regional banking activities. The information will include but is not limited to in-depth financial analysis, cashflow projections, credit review/assessments etc.
Requirements:

Recognized Degree in Finance, Accountancy, Banking or related field.
Min. 5 years of market research on countries/industries/companies, including relevant credit analysis skills.
Strong financial / accounting background, financial modelling skills essential.
Relevant experience or exposure in Oil, Gas, and other Natural Resources is highly regarded.
Remuneration package to commensurate with experience. Interested applicants may apply with their CVs in MS WORDS format via email to banking@richemondasia.com. We regret that only shortlisted candidates will be notified.