Role Overview
Hands-on and strategic Finance Manager to oversee full-set accounts across multiple entities, with a strong focus on cash flow management, budgeting, financial control, and business growth support
Key Responsibilities
- Manage full set of accounts and ensure timely, accurate financial reporting.
- Administer and review financial plans and budgets, manage organizational cash flow and forecasting, and keep the director informed of the company's financial position to ensure sufficient funding and readiness for upcoming projects.
- Oversee cash flow, working capital, and treasury, ensuring strong liquidity.
- Ensure timely collections and payments, with close monitoring of outstanding receivables.
- Monitor costs, project profitability, and capex vs budget.
- Ensure compliance with Singapore GST, tax, and statutory requirements.
- Oversee AP/AR, POs, approvals, and billing processes.
- Strengthen financial systems, reporting, policies, and internal controls.
- Lead strategic planning, corporate development, and transformation initiatives.
- Support to the director and management with financial insights, cash flow planning, and business decisions. Identify growth opportunities, partnerships, and funding/ grants to support expansion and cashflow.
Requirements
Degree in Accounting/Finance (ACCA/CPA preferred)
5-8 years of relevant experience
Strong in cash flow management, budgeting, and full-set accounting
Familiar with Singapore GST and tax regulations
Proactive, hands-on, and positive with strong ownership mindset.