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The Company
We are partnering with a global high-tech manufacturing organization with operations across Asia to identify an experienced Assistant Manager/Manager, Finance to join its regional finance team.
This is an excellent opportunity for a hands-on finance professional who enjoys driving process improvements, strengthening financial controls, and partnering closely with stakeholders across multiple countries.
The Role
Reporting directly to the Financial Controller, you will play a key role in financial reporting, working capital management, cashflow forecast, intercompany management, transfer pricing, and treasury-related initiatives.
Key Responsibilities
Financial Reporting & Planning
. Enhance consolidated and entity-level financial reporting packages to improve accuracy, consistency, and reporting timelines.
. Take ownership of working capital and cash flow forecasting models, driving continuous improvements and business insights.
. Partner with finance teams across regional entities to improve forecasting discipline and reporting visibility.
. Support management reporting and financial planning activities to aid strategic decision-making.
Treasury & Banking Support
. Support treasury initiatives including financing arrangements, foreign exchange hedging, and interest rate risk management activities.
. Assist in managing banking relationships and evaluating financial instruments and solutions.
. Contribute to the development of treasury processes as the function continues to evolve.
Intercompany & Transfer Pricing
. Review intercompany transaction flows and identify root causes of unreconciled balances.
. Develop reconciliation frameworks, standard operating procedures, and settlement processes to improve transparency and efficiency.
. Support transfer pricing assessments and ensure compliance with internal policies and regulatory requirements.
. Partner with regional finance teams to strengthen governance around intercompany activities.
Governance, Risk & Compliance
. Assist in implementing financial and operational processes across regional entities.
. Support the development, rollout, and enforcement of finance policies and internal controls.
. Contribute to governance and risk management initiatives across the organization.
Your Profile
As the successful candidate, you will possess the following relevant skills sets and experience:
. Degree in Accounting, Finance, or a related discipline.
. Qualified Accountant with CPA, CA, or equivalent professional certification preferred.
. Prior exposure in a Big 4 audit firm
. 4-8 years of relevant experience in financial reporting, working capital management and cashflow forecasting
. Strong financial modelling capabilities, particularly in cash flow and working capital forecasting.
. Solid understanding of transfer pricing and intercompany accounting principles.
. Exposure to treasury and risk management activities will be advantageous.
. Advanced Excel skills and experience working with ERP systems such as Oracle or similar platforms.
. Strong stakeholder management, communication, and problem-solving skills.
. Ability to work independently in a fast paced environment and adapt to changing business priorities
Apply Today
Please send your resume, in WORD format only and quote reference number STE13474098, by clicking the apply button. Please note that only short-listed candidates will be contacted.
Robert Half International Pte Ltd. Co. Registration no.: 200612189E | EA Licence no.: 07C5595 | Serene Tan Ing Shiern EA Registration no.: R1109248
Job ID: 151421069
Skills:
automation, Internal Controls, group financial reporting, Management Reporting, process improvement, Finance Transformation, Consolidation, Treasury Management, ERP enhancements