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Finance Manager

BLUEWATERS HOSTELLING PTE. LTD.

Singapore

On-site

SGD 70,000 - 90,000

Full time

20 days ago

Job summary

A leading hostel management company in Singapore is looking for a Finance Manager to oversee financial planning, budgeting, and regulatory compliance. This pivotal role includes developing financial strategies, leading budget processes, and ensuring accurate reporting, providing insights that support business growth and operational efficiency.

Qualifications

  • Proven experience in financial management roles, essential for development and implementation of financial strategies.
  • Strong analytical skills to assess financial reports and trends.
  • Knowledge of regulatory requirements and compliance standards.

Responsibilities

  • Develop and monitor financial strategies aligned with business goals.
  • Lead the annual budgeting process and conduct variance analysis.
  • Prepare financial statements and provide insights to leadership.

Skills

Financial Governance
Budgeting
Forecasting
Financial Reporting
Cash Flow Management
Regulatory Compliance

Education

Degree in Finance, Accounting, or related field

Job description

Job Purpose:

The Finance Manager will oversee financial planning, budgeting, forecasting, reporting, and regulatory compliance for Bluewaters Pod Hostel. The role ensures strong financial governance and provides strategic insights to support business growth and operational efficiency.

Key Responsibilities:

1.Financial Strategy & Governance

Develop, implement, and monitor financial strategies in alignment with business goals.

Ensure financial policies and controls are effective and in compliance with accounting standards and regulatory requirements.

2.Budgeting & Forecasting

Lead the annual budgeting process.

Conduct regular forecasting and variance analysis to support decision-making.

3.Financial Reporting & Analysis

Prepare accurate monthly, quarterly, and annual financial statements and management reports.

Analyze financial data and trends to provide insights and recommendations to the leadership team.

4.Cash Flow & Treasury Management

Monitor cash flow, manage liquidity, and oversee banking relationships.

Ensure optimal working capital levels and manage short-term investment strategies.

5.Audit, Tax, and Compliance

Liaise with external auditors, tax agents, and regulatory authorities.

Ensure timely and accurate tax submissions, audit reports, and statutory filings.

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