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Chief Financial Officer

MAJEED MONEY CHANGER

Singapore

On-site

SGD 80,000 - 120,000

Full time

Yesterday
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Job summary

A financial services provider in Singapore is seeking an experienced individual to develop long-term financial strategies and ensure compliance with regulations. The role requires expertise in budgeting, forecasting, risk management, and performance analysis. The ideal candidate will manage cash flow and capital structure while advising senior management on financial implications of strategic decisions. Strong leadership and analytical skills are essential for driving cost control and enhancing financial performance.

Qualifications

  • Strong expertise in developing long-term financial strategies aligned with business goals.
  • Experience overseeing audits, tax planning, and regulatory filings.
  • Ability to manage cash flow and capital structure effectively.

Responsibilities

  • Develop long-term financial strategies aligned with business goals.
  • Ensure compliance with laws, regulations, and accounting standards.
  • Identify financial risks and implement controls to mitigate them.

Skills

Financial strategy development
Budgeting and forecasting
Risk management
Performance analysis
Compliance and regulatory understanding

Education

Bachelor's or Master's degree in Finance or related field
Job description
Financial Strategy & Planning
  • Develops long-term financial strategies aligned with business goals
  • Oversees budgeting, forecasting, and financial modeling
  • Advises the CEO and board on financial implications of strategic decisions
Financial Reporting & Compliance
  • Ensures accurate and timely financial statements
  • Maintains compliance with laws, regulations, and accounting standards
  • Oversees audits, tax planning, and regulatory filings
Risk Management
  • Identifies financial risks (market, credit, liquidity, operational)
  • Implements controls and policies to mitigate risks
  • Manages insurance, internal controls, and governance frameworks
Cash Flow & Capital Management
  • Manages cash flow, working capital, and liquidity
  • Oversees capital structure (debt vs equity)
  • Handles fundraising, investor relations, and banking relationships
Performance Management
  • Tracks KPIs and financial performance metrics
  • Analyzes variances and profitability across products or divisions
  • Drives cost control and efficiency initiatives
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