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Reolink

Finance Intern

Posted 2 Days Ago
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In-Office
Singapore, SGP
Internship
In-Office
Singapore, SGP
Internship
Support Group Finance with month-end reporting, journal entries, intercompany reconciliations, accounts payable/receivable, bank reconciliations across multiple currencies, treasury tasks, ERP (NetSuite) implementation support, transfer pricing and GST assistance, and build Excel/Google Sheets financial trackers and consolidation schedules.
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Reolink, a leader in intelligent visual technology for homes and businesses, was founded in 2009 by a group of engineers with a strong commitment to and passion for smarter security solutions.
Our products are now trusted by millions of users across more than 110 countries and regions worldwide. Building on this trust, we continue expanding our presence and bringing our innovations to more markets around the globe. Reolink remains committed to delivering advanced, reliable, and user‑centric solutions that empower people to protect what matters most.

Role Overview

This internship sits within the Group Finance function and offers hands-on involvement across financial reporting, intercompany accounting, and corporate finance projects. You will work alongside experienced Finance Executives, gaining practical exposure to the day-to-day realities of running finance for a high-growth technology company operating across multiple jurisdictions.

Key ResponsibilitiesFinancial Reporting & Accounting
  • Assist in preparation of monthly management accounts and variance analysis for Singapore and regional entities
  • Support month-end close activities including journal entries, accruals, and reconciliations
  • Help maintain the intercompany transaction ledger and assist with intercompany reconciliations across group entities
Accounts Payable / Receivable
  • Process vendor invoices and assist with payment runs via DBS corporate banking portal
  • Track receivables aging and follow up on outstanding items with internal stakeholders
  • Verify supporting documents in accordance with the Group's Delegation of Authority (DOA) policy
Treasury & Banking
  • Assist with daily cash position monitoring and bank reconciliations across SGD, USD, EUR, and CNY accounts
  • Prepare bank transfer documentation and maintain proper filing of payment records
Corporate Finance Projects
  • Support ongoing ERP implementation (NetSuite) — data migration, chart-of-accounts mapping, and UAT support
  • Assist with transfer pricing documentation and compliance schedules under the guidance of the Tax & Treasury team
  • Contribute to ad hoc projects including GST filing support, entity restructuring workpapers, and audit preparation
Data & Reporting
  • Build and maintain Excel/Google Sheets-based tracking tools and dashboards for Finance KPIs
  • Assist in compiling consolidation schedules and elimination entries for Group reporting

 

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