Job Description

Accounting & Reconciliation: Maintain accurate daily financial records, reconcile bank statements, and track/follow up on outstanding payments in a timely manner.

Financial Planning: Prepare cash flow projections to support operational and financial planning.

Reporting & Compliance: Prepare monthly financial reports, maintain organised audit‑ready documentation, and ensure compliance with relevant regulatory requirements.

Ad‑hoc Support: Assist with other finance‑related tasks and projects as assigned from time to time.

Operations & Administration

Provide general administrative support and liaise with Overseas HQ, vendors, and regulatory bodies on operational matters.

Handle the full spectrum of payroll processing, including computation of salaries, allowances, overtime, medical claims, bonuses, statutory deductions, and other related payments....

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