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Finance Manager (Regional Consolidation & Cash Management)

8-10 Years
SGD 10,000 - 15,000 per month
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  • Posted 14 days ago
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Job Description

Working location: Tanjong Pagar

Mon to Fri 9am - 6pm

Job Overview
We are looking for an experienced Finance Manager to lead regional consolidation, treasury, and cash management functions for multi-country entities. This role ensures strong governance, compliance, and accurate financial reporting across the Group.

Key Responsibilities

  • Lead regional group consolidation (Poland, Hungary, US, Philippines, India, etc.) and ensure IFRS/GAAP compliance.
  • Manage month-end, quarter-end, and year-end closing and reporting to Tokyo HQ.
  • Oversee treasury, cash pooling, liquidity management, and intercompany funding.
  • Ensure compliance with Singapore statutory, tax, and regulatory requirements.
  • Coordinate statutory audits and implement audit recommendations.
  • Lead budgeting, forecasting, and provide strategic financial insights.
  • Strengthen internal controls and improve finance/treasury processes.
  • Lead and support the Finance Team to ensure high performance.

Requirement:

  • CPA qualification strongly preferred.
  • Minimum 8 years of relevant experience in Singapore and Europe.
  • Strong knowledge of group consolidation, treasury, cash pooling, and IFRS/GAAP.
  • Experience working with international banks and cross-border funding.
  • Strong leadership, analytical skills, and ability to work independently.

Additional Requirements

  • Experience working in a listed-company environment.
  • Strong, hands-on experience in preparing monthly consolidated financial statements.
  • Proficient in SAP / SAC or similar ERP systems (mandatory requirement).

EA License No: 19C9611

EA Personnel Reg No: R1433735 Teng Wei Mun (Celest)

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Job ID: 132686007