Company Overview
We are a Singapore-based commodity trading company specializing in copper and related metals, with an established presence globally and our parent company headquartered in Hong Kong. Our business involves physical trading, structured transactions, and risk-managed trading strategies.
Role Overview
We are seeking a hands-on and commercially minded Senior Finance Manager to oversee financial reporting, budgeting & analysis, and treasury functions. The role requires close interaction with trading teams and exposure to commodity markets, including hedging and derivatives activities.
Key Responsibilities
1. Financial Reporting
- Prepare monthly, quarterly, and annual financial statements in accordance with IFRS and group reporting requirements
- Ensure timely and accurate submission of reporting packages to Hong Kong headquarters
- Manage external audits, statutory filings, and compliance with Singapore regulatory requirements
- Maintain strong internal controls and accounting policies, particularly for trading-related transactions (e.g., inventory, derivatives, revenue recognition)
2. Budgeting & Financial Analysis
- Lead annual budgeting and periodic forecasting processes
- Provide variance analysis and actionable insights to management and trading teams
- Develop profitability analysis by product, counterparty, and trading desk
- Support strategic decision-making through financial modelling and scenario analysis (e.g., price volatility, margin sensitivity)
3. Treasury & Working Capital Management
- Oversee cash flow planning, liquidity management, and bank relationships
- Manage trade finance facilities (e.g., LC issuance, trust receipts, etc.)
- Monitor credit exposure and coordinate with risk/trading teams on counterparty limits
- Optimize working capital in a high-volume, fast-moving trading environment
4. Commodity & Risk Exposure
- Work closely with traders to understand physical and paper positions
- Support accounting and valuation of derivatives, including futures and hedging instruments
- Monitor mark-to-market positions and ensure proper financial reporting treatment
- Assist in developing and improving hedging strategies and risk reporting frameworks
Qualifications & Experience
- Bachelor's degree in Accounting, Finance, or related discipline CPA/CA/ACCA preferred
- 6-12 years of relevant experience, preferably in commodity trading, oil & gas, metals, or trading environments
- Strong knowledge of IFRS, particularly in areas such as revenue recognition, financial instruments, and hedge accounting
- Experience with trade finance and treasury operations
- Exposure to commodity markets, including hedging and/or futures trading (highly preferred)
- Proficiency in financial modelling and Excel experience with ERP systems is an advantage
Key Competencies
- Strong analytical and problem-solving skills
- Ability to operate in a fast-paced, commercially driven environment
- Effective communication skills, with the ability to interact with traders and senior management
- Detail-oriented with strong ownership and accountability
- Familiarity with China/Hong Kong reporting practices is a plus
Why Join Us
- Direct exposure to commodity markets and trading strategies
- Regional role with visibility to senior management and HQ
- Opportunity to grow into a leadership role within a dynamic trading environment