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Budgeting and Forecasting:
Develop and manage the organization's budgets, ensuring alignment with strategic goals.
Conduct financial forecasting to provide insights into future financial performance.
Financial Reporting:
Prepare accurate and timely financial statements and reports for internal and external stakeholders.
Ensure compliance with accounting standards and regulatory requirements.
Cash Flow Management:
Monitor and manage the organization's cash flow to ensure liquidity and efficient use of funds.
Implement strategies to optimize working capital and minimize financial risks.
Risk Management:
Identify and assess financial risks, proposing and implementing strategies to mitigate them.
Stay informed about economic trends, market conditions, and industry developments affecting the organization.
Strategic Planning:
Collaborate with other departments to align financial strategies with overall business objectives.
Provide financial insights and recommendations to support strategic decision-making.
Financial Analysis:
Analyze financial data and performance metrics to identify trends, opportunities, and areas for improvement.
Present financial analysis to key stakeholders, helping them make informed decisions.
Compliance and Audit:
Ensure compliance with financial regulations, accounting principles, and internal policies.
Facilitate external audits and address any audit findings or recommendations.
Investment Analysis:
Evaluate potential investments and financial projects, providing recommendations based on risk and return analysis.
Manage the organization's investment portfolio, if applicable.
Financial Policies and Procedures:
Develop and update financial policies and procedures to maintain internal controls and governance.
Train and educate staff on financial policies and procedures.
Team Leadership:
Lead and mentor finance teams, fostering a collaborative and high-performance work environment.
Provide guidance and support for professional development within the finance department.
ABOUT US:
INITIA GROUP is one of the biggest brand concept leaders in Singapore & Malaysia. We have been in the beauty and F&B industry for years and are now in Art, Retail, and Photo Studios. We are a fast-paced growing company, bringing all unique and on-trend concepts. We have a lot of expansions going on and we need additional talents in our growing family.
If you're excited about our company's vision for this position, we'd like to hear from you.
You may visit our website to learn more about us: https://initia.sg/
Join us as we make the impossible possible.
APPLY NOW!
Job ID: 151687493
Skills:
tax accounting , Accountancy, Financial analysis, Internal Controls, Cash Flow Projections
Skills:
Financial Policies and Procedures, Financial Forecasting, Financial Analysis, Compliance and Audit, Budgeting, Investment Analysis, Cash Flow Management, Team Leadership, Financial Reporting, Strategic Planning, Risk Management
Skills:
Forecasting, Financial analysis, Analytical capabilities, Financial risk concepts, Commercial insights, Budgeting, Performance Tracking, Working Capital Management, Financial Modelling
Skills:
Microsoft Office, Microsoft Excel, Forecasting, Cash Flow Management, Accounts Receivable, Treasury, Group Consolidation, Financial Reporting, Accounts Payable, Fixed Assets, Budgeting, General Ledger, Taxation, Bank Reconciliations
Skills:
Microsoft Excel, Accounting Systems, financial analysis, statutory requirements, Gst, ERP platforms, Forecasting, Singapore accounting standards, budgeting