The CFO (Chief Financial Officer) of LG H&H Singapore is responsible for managing and overseeing Singapore | Malaysia & other countries in SEA.
The incumbent is responsible for managing company’s financial operations, strategy and has substantial input in the company’s investments, capital structure, money management and long-term business strategy.
The incumbent will be reporting to Chief Financial Officer in Korea. The main responsibilities including but not limited to:
- Financial Planning and Analysis (responsible for developing and executing the organization's financial plans, including budgeting, forecasting, and analysis of financial performance).
- Financial Reporting (preparation and dissemination of financial reports, including the balance sheet, income statement, and cash flow statement, to internal and external stakeholders).
- Risk Management (identifying, assessing, and managing financial risks, including credit risk, market risk, and operational risk).
- Funding and Capital Management (managing the organization's capital structure, including debt and equity financing, as well as managing the organization's cash flow to ensure that it has sufficient funds to meet its operational and strategic needs).
- Tax Planning and Compliance (ensure the organization complies with all tax laws and regulations, as well as developing tax strategies that minimize the organization's tax liability).
- Corporate Governance and Regulatory Compliance (ensure the organization complies with all relevant laws and regulations, including financial reporting requirements, and for implementing and maintaining effective corporate governance practices).
- Strategic Planning (participating in the development and execution of the organization's strategic plan, including identifying opportunities for growth, assessing market trends, and developing financial strategies to support the plan).
Requirements:
- Bachelor degree or CA with at least 10 years professional experience.
- Strong understanding of corporate finance concepts and accounting principles.
- Ability to grasp market dynamics, understand business implication and set strategic direction.
- Experienced in developing highly complex financial models and developing reporting packages.
- History of successfully leading business case analysis and planning processes.
- Exceptionally advanced Excel and financial modelling skills; strong communication skills.
- Experienced in participating in debt & equity financing processes.
- Highly effective at building collaborative relationships across the organization.
- Exceptionally strong analytical skills with relentless attention to detail backed by a data-driven mentality.