Accountant (Trustee) at moomoo
Singapore, , Singapore -
Full Time


Start Date

Immediate

Expiry Date

31 Oct, 25

Salary

0.0

Posted On

03 Aug, 25

Experience

2 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Excel, Mandarin, Working Experience, Communication Skills

Industry

Accounting

Description

Moomoo Trustee (Singapore) Pte. Ltd. (Moomoo Trustee) is a wholly owned subsidiary of Futu Holdings (Nasdaq: FUTU) and a sister company of Moomoo Financial Singapore Pte. Ltd., an advanced technology company specializing in digital brokerage and wealth management platforms.Moomoo Trustee is licensed by the Monetary Authority of Singapore under the Trust Companies Act 2005 (TCA). Its core business is providing wealth and estate planning solutions for High Net Worth Individuals.

REQUIREMENTS

  • Education Level– Minimum-Diploma
  • Experience in accounting field- Full set Accounts
  • At least 2 Year(s) of working experience in the related field is required for this position (Trust accounting experience preferred but not mandatory)
  • Knowledge of MS Office (Excel & Word)
  • Knowledge of Oracle Fusion (preferred but not mandatory)
  • Able to work independently, under pressure in a fast-paced environment and with good communication skills
  • Responsible, conscientious, meticulous and harmonious team player
  • English speaking and Fluency in Mandarin is an added advantage
Responsibilities
  • Prepare full set of accounts for the Trust company (in-house Accounting)
  • Prepare full set accounts for the Trusts and underlying companies managed by the Trust company;
  • Provide accounting and administrative support to the Singapore team; liaising and assisting client-facing team members on finance, and billing matters;
  • Work closely with the Singapore team to continuously optimise the work process;
  • Provide accounting support to the trust team such as identifying new funds or new assets introduced to the trust, distributions, and supplier / vendor payments;
  • Maintain a record of funds or financial assets movement, downloading monthly bank / brokerage statements as required;
  • Support Administration team to ascertain asset value of each trust structure for reporting purposes;
  • Provide Trust Administration support.
  • Any other ad hoc support
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