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GROUP FINANCE MANAGER
Job Description
Reporting to the FC, you will lead a team and be responsible for overseeing the full spectrum of finance and accounting operations including group consolidation, treasury as well as management reporting. You will play a key role in supporting on budgeting, forecasting as well as analysis of potential risks and opportunities for the business.
Job Responsibilities
. Responsiblefor Financial Planning & Analysis for the Group
. Provideeffective analysis of monthly Group results (P&L & Balance Sheet)against budget and previous year, including reporting on business performancemetrics
. Monitor andanalyse current and past trends in financial performance at Group and assetlevel and key performance indicators including revenue, EBIT and cashflow
. Drivequarterly cashflow projections, rolling forecasts, estimates and budgetpreparation and analysis reports for reporting to senior management anddirectors, including underlying key assumptions/drivers and trend analysis.
. Review ofthe Group's monthly forecast submissions from various business units andprovide insightful assessment on the forecast reasonableness.
. Drivecorporate deliverables for management reporting submissions from business units
. Work closelywith finance team supporting the business units on performance analysis.
. Prepareparameters of key performance indicators (KPIs) for CEO & HODs formeasurement and evaluation
. Assist inpreparation of annual report
. Undertakefinance-related projects on process improvements and automatiion as required
. Prepare andensure timely and accurate monthly consolidated financial statements andaccounts schedules
. ReviewingSubsidiary and Consolidation Accounts: Maintaining financial integrity acrossthe group.
. Navigatingcomplex tax regulations.
. Review andimplement procedures and policies to ensure compliance with regulatoryrequirements, as well as management of internal controls
. Liaise withexternal and internal auditors, tax agents and lawyers to support audit, taxand other statutory requirements
. ValuationExpertise: Engaging with valuers on PPA reports and call/put options.
. GST Returnsand XBRL Filing: Ensuring compliance with regulatory requirements.
. Regularlyreconcile and eliminate intercompany balances
. Handlinginternal audit and sustainability reporting
Job Requirements
As the successfulcandidate, you will possess a degree in Accountancy or ACCA with the followingrelevant experience:
. Degree in Accountancy or equivalent professional qualifications
. At least 5 to 8 years of relevant experience in group consolidation(including joint ventures, NCI, etc), treasury management as well as budgetingand forecasting
. Preferably with 4-5 years experience in Big 4 audit firms or SGX-listedcompanies (minimum mid-cap sized)
. Strong knowledge of IFRS or USGAAP
. Proven managerial exposure
. Strong analytical and problem-solving skills
. Committed, proactive andhands-on team player with an eye for details and multi tasking abilities
. Strong interpersonal skillsand able to engage different stakeholders
. Strong verbal and writtencommunication skills
. Strong organisational skills with ability to work independently
. Possess strong MS Office skills, especially Excel, Word and Powerpoint
Please note that we will only accept application received via [Confidential Information] or Whatsapp (8834 3651). Applications through other channels or emails will NOT be entertained.
Job ID: 148851347
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