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At SoftGenius, we blend innovation with passion to lead the iGaming and online entertainment industry. As a pioneer in the iGaming and online entertainment sector, we are committed to revolutionizing the digital landscape with our next-generation platform. Our mission is to create immersive, engaging, and seamless experiences that captivate and entertain users worldwide.
We don’t just believe that our people are our greatest asset, we know it! We foster a vibrant and inclusive workplace where creativity and collaboration thrive. Our team of talented professionals is dedicated to pushing the boundaries of technology and delivering exceptional products that set new standards in the industry.
We are not just a company, we are a community that values the unique perspectives and talents of our people and are committed to providing a supportive environment where everyone can grow and succeed. Join us at SoftGenius, and be a part of a forward-thinking team that is shaping the future of online entertainment.
As an Accountant, you will be responsible for maintaining financial records, ensuring compliance with tax and accounting regulations, and assisting with financial planning and reporting. You will work closely with the Finance Manager to support the company’s financial health and decision-making process.
Maintain accurate financial records, including ledgers, invoices, and reconciliations;
Prepare monthly, quarterly, and annual financial reports;
Ensure compliance with local tax regulations, VAT, and other financial requirements;
Process payroll, employee expenses, and other financial transactions;
Conduct bank reconciliations and monitor cash flow;
Support audits and liaise with external auditors as needed;
Assist in financial forecasting and budgeting processes;
Implement and improve financial processes and internal controls;
Stay updated with accounting regulations and best practices in the industry;
Main activity will be on a US market product.
Maintain accurate financial records, including ledgers, invoices, and reconciliations;
Maintain accurate financial records, including ledgers, invoices, and reconciliations;
Prepare monthly, quarterly, and annual financial reports;
Prepare monthly, quarterly, and annual financial reports;
Ensure compliance with local tax regulations, VAT, and other financial requirements;
Ensure compliance with local tax regulations, VAT, and other financial requirements;
Process payroll, employee expenses, and other financial transactions;
Process payroll, employee expenses, and other financial transactions;
Conduct bank reconciliations and monitor cash flow;
Conduct bank reconciliations and monitor cash flow;
Support audits and liaise with external auditors as needed;
Support audits and liaise with external auditors as needed;
Assist in financial forecasting and budgeting processes;
Assist in financial forecasting and budgeting processes;
Implement and improve financial processes and internal controls;
Implement and improve financial processes and internal controls;
Stay updated with accounting regulations and best practices in the industry;
Stay updated with accounting regulations and best practices in the industry;
Main activity will be on a US market product.
Main activity will be on a US market product.
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