Financial Controller

TALENTVIS SINGAPORE PTE. LTD.

Singapore

On-site

SGD 120,000 - 180,000

Full time

11 days ago
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Job summary

TALENTVIS SINGAPORE PTE. LTD. is seeking an experienced finance leader to manage the hotel’s financial operations in Singapore. You will oversee end-to-end accounting, monthly closings, P&L reporting, budgeting and rolling forecasts to support strategic decision-making.

You will drive cost management, maintain robust controls over cash flow, revenue, expenditure and inventory, and partner with the General Manager and department heads to optimize profitability.

Responsibilities

  • Oversee the hotel's end-to-end finance operations, ensuring accurate and timely financial reporting.
  • Manage monthly closing, P&L reporting, budgeting and rolling financial forecasts.
  • Track financial performance and provide insights on variances, risks and areas for improvement.
  • Drive effective cost management across the hotel, including Food & Beverage and operational expenses.
  • Maintain strong controls over revenue, expenditure, cash flow, purchasing and inventory.
  • Ensure compliance with statutory, tax and company financial requirements.
  • Work closely with the General Manager and department heads on budgeting, financial planning and business performance.
  • Manage relationships with auditors, banks, government agencies and other external stakeholders.
  • Lead and develop the Finance team, ensuring high standards of performance and accountability.
  • Provide commercial and financial advice to management to support business decisions and improve profitability.

Job description

  • Oversee the hotel's end-to-end finance operations, ensuring accurate and timely financial reporting.
  • Manage monthly closing, P&L reporting, budgeting and rolling financial forecasts.
  • Track financial performance and provide insights on variances, risks and areas for improvement.
  • Drive effective cost management across the hotel, including Food & Beverage and operational expenses.
  • Maintain strong controls over revenue, expenditure, cash flow, purchasing and inventory.
  • Ensure compliance with statutory, tax and company financial requirements.
  • Work closely with the General Manager and department heads on budgeting, financial planning and business performance.
  • Manage relationships with auditors, banks, government agencies and other external stakeholders.
  • Lead and develop the Finance team, ensuring high standards of performance and accountability.
  • Provide commercial and financial advice to management to support business decisions and improve profitability.
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