Financial Reporting Associate (Accounting/Finance) at DM FINANCIAL PTE LIMITED
Singapore, , Singapore -
Full Time


Start Date

Immediate

Expiry Date

09 Dec, 25

Salary

3300.0

Posted On

09 Sep, 25

Experience

0 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Good communication skills

Industry

Financial Services

Description

BRIEF OVERVIEW

DM Financial (“DM”) is a professional services firm with offices in Singapore, Ireland, Cayman Islands, Netherlands, Bulgaria, Luxembourg and United Kingdom. We provide specialised accounting services to investment vehicles which have combined asset values of approximately US$848bn. Our range of clients, complexity of client investments, specialisation in multiple GAAPs, depth of expertise and technical knowledge means that we have unparalleled expertise in fund financial reporting, accounting and compliance services.

Formed in Ireland in 2007, DM has continued to grow significantly and now employs approximately 250 staff globally. Our core service lines include:

  • Financial reporting;
  • Specialised management accounting services;
  • Corporate secretarial services;
  • Taxation compliance services; and
  • Insolvency and forensic investigation services

If you are up for the challenge - and would like to be part of a team who believe in doing more for clients - we are welcoming applications to join our Financial Reporting team based at our offices in Singapore.
Working as an Associate, you will assist in preparing financial reports for regulated investment funds and investment vehicles domiciled in the Cayman Islands, Singapore, Hong Kong, Australia, US, UK, Ireland, Luxembourg, and France.
You can be part of our globally expanding financial reporting team who Do More to deliver high quality services to meet the exacting standards of our growing client base.

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Responsibilities
  • Preparation of excel schedules and notes as support for financial statements
  • Preparation of financial statements for clients
  • Present financial statements for review to senior members of staff
  • Liaising with external parties in relation to financial statements, including investment managers, administrators, auditors and other service providers
  • Assistance with research of complicated transactions to ensure the accounting treatment is correct
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