Enable job alerts via email!

Finance Planner - Cash Flow ( Contract Role ) | 1618

The Supreme HR Advisory

Singapore

On-site

SGD 80,000 - 100,000

Full time

Today
Be an early applicant

Generate a tailored resume in minutes

Land an interview and earn more. Learn more

Job summary

A financial consultancy in Singapore is seeking a Senior Cash Flow Analyst (Contract) to monitor and analyze Group Cash Flow. The role involves optimizing liquidity, managing working capital, and ensuring compliance with treasury policies. Ideal candidates will have a bachelor's degree in finance or accounting, along with proficiency in financial modelling, forecasting tools, and SAP systems.

Qualifications

  • Proficiency in financial modelling and forecasting tools.
  • Advanced knowledge of Microsoft Excel and experience in SAP systems.
  • Experience in project cash flow is a plus.

Responsibilities

  • Track inflow and outflow across all project accounts.
  • Maintain updated records of the Group’s cash position.
  • Develop and update short-term and long-term cash flow forecasts.
  • Analyze historical data for forecasting accuracy.
  • Prepare monthly cash flow and working capital reports for management.

Skills

Financial modelling
Forecasting tools
Microsoft Excel
SAP systems

Education

Bachelor’s degree in Finance or Accounting
Job description

Position title: Senior Cash Flow Analyst (Contract)

  • Location: Near Jurong Island
  • Working Days: Monday- Friday, 5 days
  • Working hours : 8am to 530pm
  • Salary : $5,000 max + Contract Bonus / AWS (depends on contract type)
Job Summary

The candidate is responsible for monitoring, analyzing and forecasting Group Cash Flow to ensure financial stability and support decision-making. The role focus on optimizing liquidity, managing working capital and involves monitoring projects and entities’ cash flow and ensure compliance with treasury policies.

Requirement
  • Bachelor’s degree in relevant fields in Finance or Accounting
  • Proficiency in financial modelling and forecasting tools
  • Advance knowledge of Microsoft Excel and has experience in SAP systems
  • Candidates with experience/exposure in project cash flow will have an added advantage
Responsibilities
  • Track inflow and outflow across all project accounts
  • Maintain updated records of the Group’s cash position
  • Ensure sufficient liquidity to meet short-term obligations
  • Develop and update short-term and long-term cash flow forecasts
  • Analyze historical data and trends to improve forecasting accuracy
  • Provide scenario analysis for cash flow under various business conditions
  • Prepare monthly cash flow and working capital reports for management
  • Conduct variance analysis to compare actual cash flow against job opening and Plan
  • Identify and report on trends, risks and opportunities in cash flow
  • Work with finance and operations teams to gather inputs for cash flow analysis
  • Coordinate with accounts receivable and payable teams to improve cash conversion cycles
  • Analyze and recommend strategies to improve working capital management
  • Monitor and optimize payment and collection schedules
  • Support the implementation of cash flow hedging strategies
  • Ensure compliance with internal policies and regulatory requirements
  • Automate and streamline cash reporting and forecasting processes
  • Implement tools and systems to enhance visibility into cash flow
  • Assist in audits and provide required documentation related to cash flow.
  • Any other duties to be assigned from time to time
Get your free, confidential resume review.
or drag and drop a PDF, DOC, DOCX, ODT, or PAGES file up to 5MB.