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Group Financial Controller

JEWEL ROCK CAPITAL INVESTMENT PTE. LTD.

Singapore

On-site

SGD 150,000 - 200,000

Full time

Today
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Job summary

A leading Real Estate Conglomerate in Singapore is seeking a Group Financial Controller. This role requires a Chartered Accountant with at least 20 years of relevant experience. Responsibilities include managing overseas accounts, establishing financial controls, reviewing financial statements, and ensuring compliance with statutory requirements. The ideal candidate should possess strong business acumen, decision-making capabilities, and be a proactive team player. An attractive annual salary package of 150-200k is offered commensurate with experience.

Qualifications

  • Minimum 20 years of relevant work experience.
  • Able to make decisions and proactive.

Responsibilities

  • Manage overseas accounts of companies and subsidiaries.
  • Establish business control over financial processes.
  • Review and analyze financial statements for the Group.
  • Design, implement and maintain internal controls.
  • Formulate annual budgets and manage cash flow.
  • Ensure timely reporting of operating results.
  • Liaise with auditors, tax agents, and legal counsel.
  • Manage acquisition due diligence process.
  • Represent the Group at industry conferences.

Skills

Business and leadership acumen
Decision-making
Team player

Education

Chartered Accountant
Job description

A leading Real Estate Conglomerate in Singapore requires
Group Financial Controller

(Annual package 150-200k) per annum
Attractive Remuneration package commensurate with experience.

  • Overseas account of companies and its subsidiaries engaged in Investments, Property & F&B
  • Establish Business control over financial processes and complying with corporate policies, IFRS, legal, statutory and tax requirements.
  • Review and analyses all financial statements for the Group.
  • Design, implement and maintain adequate internal controls, policies, and procedures in compliance with corporate policies and all relevant auditing, statutory and tax requirements to support integrity of internal and external financial statements.
  • Spearhead the formulation of annual budgets and operating forecasts managing the cash flow requirements effectively.
  • Ensure accurate and timely reporting of operating results in compliance with corporate policies/guidelines, statutory and tax requirements for the Group.
  • Liaise with auditors, tax agents, legal counsel, bankers and relevant government authorities.
  • Manage acquisition due diligence process.
  • Represent the Group in attending Industry Conferences, Investor Events and Senior Management Professional Meetings.
Requirements
  • Chartered Accountant.
  • Minimum 20 years of relevant work experience
  • Business and leadership acumen.
  • Able to make decisions and proactive.
  • Team player
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