Singapore, Singapore
Managed full‑set accounting, month‑end close, reporting, budgeting, cash‑flow forecasting, and statutory compliance across multiple entities, improving accuracy and supporting smoother audit cycles. Supported investment operations across equities, deposits, private equity, and real estate by maintaining reliable records and reconciliations that strengthened portfolio oversight. Oversaw property administration, vendor and banking relationships, and daily operations, contributing to efficient expense control, timely billing, and organised document governance.
Produced pathology workload analytics and strengthened month‑end close accuracy through improved financial schedules, reconciliations, and management reporting. Streamlined laboratory billing operations by coordinating with vendors, managing weekly billings and receivables, and maintaining master data, including timely annual fee updates.
Managed, maintained, and administered clients’ accounts involving a wide range of corporate and tax‑related work. Reviewed and prepared management accounts, reporting packages, GST returns, year‑end financial statements with Directors’ Reports, and tax computations. Supported clients with accounting, taxation, and payroll matters.
Worked closely with insurers’ underwriters and assisted account handlers with claims and underwriting activities. Maintained compliance with established procedures and workflows. Supervised and coached junior staff, including reviewing their work and reinforcing proper work practices.