Your Dedicated Finance Team โ Built by Function
We don't just assign tasks. We build structured finance teamsโeach layer designed for a specific function, working together to deliver predictable, scalable, and accountable outcomes.
Core Accounting Operations Team
What This Team Handles
- Full-cycle accounting (AP, AR, GL)
- Reconciliations & ledger management
- Month-end close execution
- Documentation & control maintenance
Impact
- Predictable close cycles.
- Reduced key-person risk.
- Layered execution and review.
Compliance & Regulatory Team
What This Team Handles
- Corporate tax support
- Indirect tax (GST/VAT) preparation
- Payroll compliance & statutory filings
- Compliance calendar monitoring
Impact
- Reduced filing risk.
- Proactive compliance oversight.
- Audit-ready schedules.
Reporting & Analysis Team
What This Team Handles
- Management reporting
- Financial dashboards
- Cash flow tracking
- Variance analysis
Impact
- Clear leadership visibility.
- Data-backed decision making.
Optional Add-On
Strategic Finance Layer
What This Team Handles
- CFO-level advisory
- Forecasting & scenario modeling
- Budget planning
- Board reporting packs
Impact
- Finance aligned to strategy.
Scalable Support Layer
What This Enables
- Additional execution capacity during growth
- Project-based finance initiatives
- Flexible headcount scaling
Impact
- No recruitment bottlenecks.
- Capacity expands with operations.
Country-Specific Compliance Expertise
Every country has unique statutory requirements. Select a country to see how we handle local compliance with precision.
Select Country
๐ธ๐ฌ
Singapore
IFRS/FRS-aligned reporting packs with Singapore Financial Reporting Standards compliance
Monthly Statutory Checklist
Payroll
- CPF contribution calculation & reconciliation
- SDL (Skills Development Levy) computation
- Payroll journal entries posted
- Leave accrual reconciliation
- Director fee accruals (if applicable)
Indirect Tax
- GST F5/F7 return preparation support
- Input tax claim verification
- GST reconciliation to GL
- Bad debt relief tracking
- Reverse charge assessment
Corporate Tax
- Estimated Chargeable Income (ECI) tracking
- Tax provision computation
- Withholding tax schedules
- Transfer pricing documentation updates
- ACRA filing readiness check
What We Handle
- Full-cycle bookkeeping & month-end close
- CPF computations & support documentation
- IRAS-aligned tax preparation workflows
- GST compliance support & reconciliations
- Corporate tax support preparation
- Multi-entity consolidation
Templates & Deliverables
CPF Computation Template (OW/AW caps)GST Return Workpaper (F5)Monthly Close ChecklistBank Reconciliation TemplateIntercompany Reconciliation PackTax Provision ScheduleAudit Schedule Templates (PBC list ready)
Common Mistakes We Prevent
- CPF cap breaches on Additional Wages
- GST input claims on blocked expenses
- Missing director fee CPF contributions
- Incorrect foreign worker levy treatment
- Late ECI filing penalties
- Unreconciled intercompany balances at year-end
Your Confidence
- Audit-ready documentation every month
- On-time CPF & GST submissions support
- Clean reconciliations with zero open items
- Full visibility into financial position
Sample Result
Challenge
Month-end taking 18 days, GST errors flagged by IRAS, no visibility on consolidated cash position
Result
Close reduced to 6 days, zero GST findings in 2 years, real-time consolidated dashboard
