Job ID: 1164549 - RG
Key Responsibilities
1. Financial & Management Reporting
- Prepare monthly consolidation packages and Group consolidated financial statements (monthly, quarterly, and annually) in accordance with SFRS/IFRS.
- Draft statutory financial statements, notes, and disclosures, ensuring compliance with SFRS/IFRS and SGX requirements.
- Review and analyse management accounts from corporate and regional subsidiaries.
- Ensure timely, accurate, and high-quality financial reporting for internal and external stakeholders.
- Support half‑year and year‑end audit processes; liaise with external auditors to resolve queries.
2. Budgeting, Forecasting & Cash Flow Management
- Collaborate with department heads on annual budgeting and monthly rolling forecasts for the group.
- Perform variance analysis and actionable insights from consolidated data.
- Assist in preparing cash flow projections and financial planning.
3. Process & Systems Improvement
- Develop and enhance consolidation policies, procedures, and templates.
- Support automation and standardisation initiatives to streamline reporting and strengthen internal controls.
4. Regional Collaboration
- Work closely with regional finance teams to ensure accuracy, consistency, and compliance in reporting.
- Provide guidance and support to Finance/Accounts Executives.
- Participate in ad‑hoc projects and cross‑functional initiatives as required.
Qualifications
- Degree in Accounting with ACCA / CA qualification preferred.
- Minimum 3 to 5 years of relevant experience in group consolidation and financial reporting. Hands‑on group consolidation experience is essential.
- Prior audit experience is required. Experience in a Big4 accounting firm is a strong advantage.
- Excellent knowledge of Singapore Financial Reporting Standards (SFRS) and IFRS.
- Strong analytical skills and attention to detail.
- Proficient in MS Office applications.