PwC SingaporeFrom company site
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You will be responsible for ensuring timely and accurate month-end closing and financial reporting to management. Duties include handling receipts and payments interface reconciliation, general ledger work and other key reconciliations. You will coordinate with internal teams and the firm's network on intercompany activities, and liaise with external auditors, tax agents, corporate secretarial agents and government authorities. You will also support compliance with finance and GST filing requirements, audits and internal procedures, and assist in redesigning processes to improve productivity and efficiency. Other ad-hoc duties may be assigned.
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