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Finance Manager

KPA ENGINEERING PTE. LTD.

Singapore

On-site

SGD 65,000 - 90,000

Full time

Yesterday
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Job summary

A leading engineering firm in Singapore is seeking a financial expert to prepare accurate financial reports, manage cash flow, and oversee compliance with accounting standards. The ideal candidate has strong communication skills and a keen analytical mind, essential for financial assessments and policy development. Candidates should be proficient in Microsoft Excel and demonstrate excellent problem-solving abilities. This role offers opportunities for professional growth in a dynamic environment.

Qualifications

  • Coordinate with external and internal auditors for annual audit and preparation of financial statements.
  • Experience in tax computations and dealing with tax agents.
  • Ability to communicate effectively at all levels.

Responsibilities

  • Prepare and present accurate and timely financial reports.
  • Implement strategies to optimize cash flow.
  • Oversee preparation of management accounts and financial statements.
  • Conduct financial analyses to assess performance.
  • Ensure compliance with accounting standards.
  • Identify and assess financial risks.
  • Monitor cash flow and manage liquidity.

Skills

Communication skills
Problem-solving abilities
Analytical capabilities
Attention to detail
Organizational skills
Proficiency in Microsoft Excel
Job description
Responsibilities
  • Prepare and present accurate and timely financial reports, including income statements, balance sheets, and cash flow statements.
  • Implement strategies to optimize cash flow, such as managing receivables and payables effectively
  • Oversee the preparation of monthly and quarterly management account, and annual financial statements in accordance with Singapore accounting standards and Singapore Financial Reporting Standards.
  • Develop and implement financial policies and procedures to enhance operational efficiency and safeguard company assets.
  • Conduct financial analysis to assess the company's performance, identify trends, and forecast future financial outcomes.
  • Ensure compliance with accounting standards and regulations in financial reporting.
  • Communicate financial performance and key metrics to stakeholders, including senior management, investors, and board members.
  • Identify and assess financial risks facing the organization, such as market risks, credit risks, and operational risks.
  • Monitor risk exposures and implement controls to manage risk effectively.
  • Manage cash flow to ensure liquidity and meet financial obligations.
  • Develop and implement financial policies and procedures to enhance operational efficiency and safeguard company assets.
  • Develop and implement financial plans, budgets, and forecasts aligned with the organization's strategic goals..
  • Provide insights and recommendations to senior management based on financial analysis.
  • Monitor cash balances, cash forecasts, and cash flow projections.
Required Knowledge and Skills
  • Co-ordinate and liaising with external and internal auditors for annual audit including preparation of financial statements.
  • Team player with effective communication skills .
  • Excellent problem-solving and analytical capabilities.
  • Liaising with tax agents on Group’s transfer pricing and tax computation.
  • Strong communication skills and experience to deal with people at all levels.
  • Proficiency in Microsoft Excel.
  • Strong attention to detail and organizational skills.
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