Group Accountant/ Senior Accountant

ASCEND BUSINESS CONSULTANCY PTE. LTD.Singaporemycareersfutureavaldatud 30.09.2026
Nõutav:FinTechSenior

(Full time) Job title: Group Accountant/ Senior Accountant 岗位:会计 / 会计主管 Location 工作地点:Singapore(新加坡) Work Arrangement工作方式:WFH居家工作 Reporting to汇报对象:CFO/ CEO Level 职级: Supervisor主管级别 Career Ladder晋升空间:towards group FM, and FC of a Nasdaq listed company未来有空间晋升为财务经理,甚至美股上市集团财务总监。

I - Company Profile 公司简介 We are a fast-growing internationaltechnology group headquartered in Singapore. Our business footprints spanacross Southeast Asia, Africa, and Europe, with a core focus on digitalinfrastructure, data center construction, blockchain technology, andcryptocurrency assets. Driven by our continuous global expansion and ourstrategic roadmap toward a future US listing, we are sincerely invitingoutstanding financial talents to join our Singapore global headquarters. 我们是一家以新加坡为全球总部,快速发展的国际化科技集团。集团业务覆盖东南亚、非洲、及欧洲地区。专注于数字基础设施、数据中心建设、区块链技术及加密货币资产相关领域。随着集团业务持续扩张及未来美股上市计划的推进,我们诚邀优秀的财务人才加入新加坡集团总部。

II - Responsibilities 岗位职责: Singapore HQ financemanagement 新加坡总部财务工作: ·     DailyAccounting & Bookkeeping: Handle daily accounting treatments, accountsreceivable (AR), accounts payable (AP), and intercompany reconciliations.Perform reconciliations for external loans, loan interest, bank transactions,and digital wallet statements. Manage core accounting duties including revenuerecognition, cost allocation, depreciation, and interest adjustments. 负责新加坡总部的日常账务处理、应收应付、往来对账工作、外部贷款及贷款利息的对账、银行钱包等流水对账、以及收入确认、成本分摊、折旧利息等会计核算。 ·     AssetManagement: Manage the accounting treatments and verification of group fixedassets; coordinate and conduct regular physical stocktakes across variousdepartments. 负责集团固定资产的管理和账务处理,定期与各部门开展盘点工作。 ·     Filing& Archiving: Systematically organize and archive accounting vouchers,ledgers, financial statements, and other financial records to ensure complianceand readiness for auditing. 整理归档会计凭证、账簿、报表等财务档案,便于查阅与审计。 ·     StatutoryReporting & Tax: Partner with external corporate service firms to preparestatutory financial statements and corporate income tax (CIT/ECI) filings forthe Singapore headquarters. 与外部事务所合作出具新加坡总部的外账财务报表、所得税申报等工作。 ·     GroupAudit: Maintain close and proactive communication with group auditors to ensurethe smooth and timely completion of the annual group audit. 与集团审计师密切沟通,按时、顺利地完成集团年审工作。 ·     CorporateSecretarial Liaison: Coordinate closely with the corporate secretarial firm toensure timely filing of corporate profile changes, annual returns, andstatutory compliance requirements. 与秘书公司密切沟通,按时完成公司信息变更、年审等工作。 ·     BankingOperations: Maintain strong relationships with partner banks to ensure thatcross-border fund transfers, receipts, and payments are compliant, accurate,and executed on time. 与合作银行密切沟通,确保资金跨境调拨、收付款等合规、准确、及时。 ·     Payroll& CPF Compliance: Manage monthly payroll calculations, CPF submissions, andannual employee income tax declarations (IR8A) for the Singapore HQ, ensuringpunctual salary payouts and fund contributions. 负责新加坡总部的月度工资计算、月度CPF申报、年度员工收入申报,确保按时发放工资与缴纳公积金等款项。 ·     Ad-hocTasks: Execute any other ad-hoc assignments or temporary projects assigned bymanagement. 其他领导交办的临时工作。 Group Financial Management 集团财务工作: ·     FinancialConsolidation: Supervise and coordinate finance team members across allsubsidiaries to ensure accurate and timely monthly closing of internalaccounts, and generate monthly group consolidated financial statementsregularly. 负责并协调集团下属各子公司财务人员,按时、准确的完成集团内账月结并定时出具月度合并报表。 ·     ExpenseControl: Conduct daily reviews and approvals of various expense payments instrict accordance with the group's financial policies and control procedures. 根据集团财务制度,进行日常费用审核、付款审批。 ·     BudgetManagement: Coordinate with relevant departments within all subsidiaries tocompile, issue, monitor, and track monthly budgets. 负责并协调集团下属各子公司相关部门,编制并出具月度预算并追踪管理。 Treasury & CashManagement: Collaborate with the treasury department to properly plan,schedule, and optimize monthly cash flows and capital allocations. 负责并协调资金部门,妥善安排月度资金计划和资金管理工作。 ·     SubsidiaryCompliance: Oversee and support all subsidiaries to ensure their localstatutory financial statements, annual audits, and monthly/quarterly/annual taxfilings are completed on time and local taxes are paid properly. 负责并协调集团下属各子公司的当地外账报表、法定审计、以及月度/季度/年度的各类税务申报工作,按时缴纳各项税费。 ·     ContractManagement: Properly organize, maintain, and safeguard internal and externalcontracts, as well as critical commercial data and documents. 妥善整理、保管内部和外部合同,以及重要的商业资料。 ·     GroupInitiatives: Participate in and provide financial support for other group-levelprojects and strategic initiatives. 参与并支持其他集团层面的工作。

III – Requirements 任职资格:

  1. Education:Diploma or Bachelor’s Degree and above in Accounting, Finance, or a relateddiscipline.

大专及以上学历,会计学或财务管理专业。

  1. Experience:Minimum of 2 to 6 years of solid experience in general ledger (GL) accountingor external auditing.

至少2- 6年以上总账会计或审计工作经验。

  1. LanguageSkills: Fluency in Mandarin and English (English proficiency must be sufficientfor daily professional communication and written business correspondence).

语言要求:普通话、英语(英语可用于日常交流、书写)。

  1. TechnicalSkills: Proficiency in both Chinese and English accounting systems (e.g.,QuickBooks Online, etc.) and standard office automation software (MS Office).

熟练使用中、英文财务软件系统(如QuickbooksOnline等)和和办公软件。

  1. Communication:Strong communication skills with a proven track record of ensuring smooth dailyreporting, high execution capability, and excellent coordination skills.

沟通能力强、保证日常汇报顺畅、执行力强、协调能力出色。

  1. Attributes:Detail-oriented, highly responsible, proactive, and a strong team player withan upright professional attitude.

认真负责,关注细节、态度端正, 具备良好的团队合作能力以及较强的责任心。

  1. Professionalism:Physically fit, high integrity, free of bad habits, resilient under pressure,and compliant with company regulations and work assignments.

身体健康,人品端正,无不良嗜好,抗压能力强,遵守公司管理制度,服从工作安排。

  1. PreferredQualification: Prior experience in international project financial managementand cross-border financial coordination is a strong plus.

有国际项目财务管理和协调经验者优先。

  1. Travel:Ability and willingness to travel overseas when required (approximately 1 to 2times per year).

能够接受海外出差安排(每年1- 2次)。

IV - AdditionalInformation 其他信息: ·     Remuneration:Job title, ranking, and salary package will be offered commensurately based onthe candidate's experience, competencies, and interview evaluation. 根据候选人的经验、能力及岗位匹配度,公司将酌情考虑提供相应职位级别和薪酬。 ·     CareerGrowth: Clear track to Finance Manager, with long-term potential to progress toGroup Financial Director for a US-listed company. 晋升空间:未来有空间晋升为财务经理,甚至美股上市集团财务总监。 ·     Incentives:Eligible for employee equity/stock option incentives upon a successful futureIPO listing. 未来上市成功后有员工股权奖励。 ·     Application:Interested candidates are requested to submit a bilingual resume (in bothEnglish and Chinese). 申请人请提交中、英文双语简历。