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Financial Controller

WECRUIT PTE. LTD.

Singapore

On-site

SGD 70,000 - 90,000

Full time

Yesterday
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Job summary

A financial services company based in Singapore is seeking an experienced professional for compliance and regulatory reporting. Responsibilities include managing financial governance, overseeing internal controls, and providing strategic advisory to the leadership team. Ideal candidates should have strong skills in treasury, risk management, and financial analysis. The role requires a commitment to corporate governance and involves interaction with various stakeholders. Competitive salary and benefits are to be expected.

Responsibilities

  • Ensure adherence to SGX Catalist listing rules and corporate governance.
  • Develop strong internal controls and risk management frameworks.
  • Manage cash flow and optimize working capital.
  • Establish KPIs to evaluate business performance.
  • Drive automation in financial processes and ERP systems.
  • Provide financial analysis and strategic guidance.

Skills

Forecasting
Treasury
External Audit
Corporate Governance
ERP
Risk Management
Variance Analysis
Internal Controls
Tax Structuring
Compliance
Financial Analysis
Capital
Process Optimization
Cash Flow
Cost Control
Financial Reporting
Job description
Roles & Responsibilities
1. SGX Catalist Compliance & Regulatory Reporting
  • Ensure full adherence to SGX Catalist listing rules, IFRS/SFRS standards, and corporate governance requirements.
  • Manage timely and accurate submission of quarterly/annual reports, regulatory filings, and investor disclosures.
  • Coordinate with SGX sponsors, auditors, legal advisors, and regulators to meet all disclosure obligations.
  • Oversee corporate tax planning, GST filings, and related statutory submissions.
2. Internal Controls & Financial Governance
  • Develop strong internal controls, risk management frameworks, and corporate policies.
  • Lead internal and external audit processes to uphold financial reporting integrity.
  • Conduct compliance checks and risk assessments to reduce financial and operational exposure.
  • Review and approve financial contracts, commitments, and vendor agreements.
3. Treasury, Cash Flow & Risk Management
  • Manage cash flow, liquidity planning, and financial forecasting.
  • Optimize working capital and mitigate financial risks.
  • Oversee corporate financing, debt arrangements, and banking relationships.
4. Business Performance Monitoring & Cost Control
  • Establish KPIs and financial metrics to evaluate business performance.
  • Implement cost management initiatives to support budget compliance.
  • Perform variance analysis comparing budgeted vs. actual results.
5. Financial Systems & Process Optimization
  • Drive automation and improvements in financial processes and ERP systems.
  • Enhance reporting accuracy and operational efficiency through digital transformation.
6. Strategic Business Advisory
  • Provide financial analysis and strategic guidance to the CEO and Board.
  • Support M&A activities, restructuring efforts, and business expansion initiatives.

We regret only shortlisted candidates will be contacted. All applications will be handled confidentially. By submitting your application, you agree to the collection, use, retention, and disclosure of your personal information to prospective employers.

Tell Employers What Skills You Have
  • Forecasting
  • Treasury
  • External Audit
  • Corporate Governance
  • ERP
  • Risk Management
  • Variance Analysis
  • Internal Controls
  • Tax Structuring
  • Compliance
  • Financial Analysis
  • Capital
  • Process Optimization
  • Cash Flow
  • Cost Control
  • Financial Reporting
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