Accounts Officer at MOOMOO FINANCIAL SINGAPORE PTE LTD
Singapore, Southeast, Singapore -
Full Time


Start Date

Immediate

Expiry Date

25 Apr, 25

Salary

6500.0

Posted On

26 Jan, 25

Experience

1 year(s) or above

Remote Job

No

Telecommute

No

Sponsor Visa

No

Skills

Financial Services, Fintech, Communication Skills, Pivot Tables

Industry

Financial Services

Description

Moomoo Financial Singapore Pte. Ltd. (Moomoo Singapore) is an advanced financial technology company transforming the investing experience by offering a digitalised brokerage and wealth management platform – moomoo. Moomoo enhances the user experience with market data, news, and powerful analytical tools. Moomoo also embeds an unique digitalised investment community to connect all users, investors, companies, analysts, media and key opinion leaders.
In Singapore, Moomoo Financial Singapore Pte. Ltd. ( www.moomoo.com/sg ) offers investment products for trading via the moomoo platform, and it is a capital markets services licence holder regulated by the Monetary Authority of Singapore (Licence No. CMS101000). In June 2022, Moomoo Singapore became the first digital brokerage to receive all five memberships from the SGX Group for the securities and derivatives markets.

REQUIREMENTS

  • Degree or diploma in accounting/finance/banking, and/or professional certification (e.g. ACCA, CA, CPA)
  • 1 to 2 years of relevant experience
  • Strong interest in finance industry developments, especially surrounding regulatory and technical updates (e.g. IFRS, tax developments, domestic regulatory developments)
  • Experience in financial services or fintech will be a plus
  • Proficient in MS Excel - lookups, pivot tables, conditional formulas
  • Self-driven, meticulous, organized, team player
  • Willingness to adapt, be versatile, and take on tasks outside of pre-defined job scope to solve problemsGood English and Chinese written and verbal communication skills, reading and conversational skills will be an advantage
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Responsibilities
  • Review of reconciliation reports for Banks, AP, intercompany and other balance sheet accounts.
  • Handling the bank payments.
  • Responsible for timely and accurate accounting close.
  • Preparation of monthly reports and other analysis reports.
  • Providing finance advice and proactive support to the management and business operations.
  • Drafting of financial statements / tax computation.
  • Liaison with auditor / tax consultant / company sectary for statutory reporting.
  • Continuously driving process improvement.
  • Up keeping of strong internal control system and corporate governance.
  • Assist in the creation of new processes and system implementation when required.Any other duties or projects assigned by the Management
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