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A leading financial management company in Singapore seeks a finance professional to manage cash flow, prepare consolidated financial statements, and ensure compliance with statutory requirements. The ideal candidate has a degree in Accounting or Finance, at least 5 years of experience, and strong skills in cash flow management and analysis. Proficiency in accounting systems and Excel is essential, along with good communication skills. Mandarin proficiency is a plus.
Key Responsibilities:
• Manage daily cash flow, banking transactions, and intercompany fund transfers across 3 countries (Singappore, Malaysia & China).
• Prepare and review consolidated financial statements (monthly, quarterly, yearly).
• Perform variance analysis and provide financial insights to management.
• Ensure compliance with local statutory, tax, and audit requirements.
• Work with external auditors, tax agents, and authorities.
• Implement internal controls and improve accounting processes across entities.
Requirements:
• Degree in Accounting/Finance or professional certification (ACCA/CPA or equivalent).
• Minimum 5 years’ experience, preferably with regional or multi-country exposure.
• Strong expertise in cash flow management, consolidation, and reporting standards.
• Proficiency in accounting systems and Excel.
• Detail-oriented, analytical, and able to work independently under tight timelines.
• Good communication skills; Mandarin proficiency will be an advantage.