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Essex Bio-Technology

Finance Analyst

3-6 Years
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Job Description

Essex Bio-Technology (EssexBio) is a bio-pharmaceutical company. Our portfolio of products aims to deliver solutions to commercial and clinical unmet needs, covering a wide range of therapeutic areas, which include Ophthalmology, Dermatology and Wound Healing. With a growing international presence across the U.S., Europe, and Asia, EssexBio offers employees the opportunity to participate in cross-border projects.

EssexBio is listed on the Hong Kong Stock Exchange with operating headquarters in Singapore and Zhuhai, serving Asia-Pacific and China respectively. In Singapore, EssexBio through its subsidiaries is focused on translational research, healthcare services and market access for biopharmaceutical products.

This job posting is for a role at our operating headquarters in Singapore (through one of our subsidiaries), offering the chance to contribute to EssexBio's regional and global operations, strengthening our overall regional impact and innovation in healthcare.

About the Role

We are seeking a Finance Analyst to support treasury operations, budgeting, and cash flow management across multiple entities.

This role offers exposure to multi-entity and regional finance operations, with opportunities to drive process improvements and take ownership of financial workflows.

Job Description

Payment and Treasury Operations

  • Prepare and process payments across entities in Singapore & other countries
  • Maintain accurate and up-to-date payment tracker(s)
  • Ensure completeness and accuracy of supporting documents prior to approval submission
  • Support bank administration matters including user access, documentation and submissions

Budgeting & Financial Support

  • Compile and validate financial data for budgeting exercises
  • Maintain and update budget templates
  • Perform monthly variance analysis and investigate key movements
  • Track and monitor fund utilisation and drawdown against approved budgets

Cash flow monitoring

  • Maintain rolling cash flow forecasts across entities
  • Monitor liquidity positions and provide early alerts (1–2 months ahead)
  • Identify unusual cash movements and escalate where necessary
  • Highlight potential risks and propose mitigating actions

Ownership and improvement

  • Take ownership of budget preparation across entities
  • Manage and refine cash flow forecasting models
  • Improve reporting accuracy and timelines
  • Drive continuous process improvements in treasury and financial workflows

Requirements

  • Bachelor's degree in Finance, Accounting, or a related field
  • 3–6 years of experience in finance roles, with exposure to Financial Planning & Analysis (FP&A), cash flow management, or business partnering
  • Strong preference for candidates with experience in FP&A, cash flow or commercial finance, with a focus beyond core accounting functions
  • Experience in handling multi-entity environments or regional exposure is advantageous
  • Prior experience in the pharmaceutical or biomedical industry is a plus

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About Company

Job ID: 146722123

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