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Senior Finance Executive

SINGAPORE COMPUTER GUYS PTE. LTD.

Singapore

On-site

SGD 60,000 - 80,000

Full time

20 days ago

Job summary

A technology solutions provider in Singapore is seeking a Finance Manager to lead financial management and reporting. The ideal candidate will handle cash flow management, budgeting processes, and ensure compliance with statutory requirements. Strong experience in finance/accounting and knowledge of financial regulations is essential. This role is pivotal for maintaining the financial health of the company.

Qualifications

  • Experience in finance and accounting roles.
  • Strong knowledge of statutory compliance and financial regulations.
  • Proficiency in cash flow management and financial reporting.

Responsibilities

  • Lead the financial management and reporting activities.
  • Ensure day-to-day finance and accounting activities are performed.
  • Manage cash flow and maintain financial health.
Job description

You will lead the financial management and reporting activities of the company. Along with collaborating extensively with the CEO & multiple cross-functional teams, this role is responsible for driving growth and profitability, managing risk & costs across 2 geographic location.

Your duties & responsibilities should include, but are not limited to:

● Ensure the day-to-day Finance & Accounting activities are duly performed.

● Handle AR / AP related enquiries and process.

● Update and reconciliation of clients’ subscription movement into Xero.

● Cash Flow management and maintaining the financial health of the company.

● Perform monthly financial reconciliation process for company, intercompany and group level.

● Handle monthly consolidated reports.

● Lead monthly and yearly budgeting process and to ensure monthly cost allocation are analyzed and interpreted to respective stakeholders while recommending further courses of action.

● Develop trends and projections for the company’s finances.

● Conduct reviews and evaluations for cost-reduction opportunities and increase operational efficiency.

● Ensure documentation is in place and in accordance with FRS and statutory compliance requirements.

● Report quarterly GST in accordance with local tax regulations & ensure timely submission of statutory compliance reports, such as annual filings & corporate taxes.

● Manage banking relationships, cash management, and other treasury-related activities.

● Serve as a point of contact for all government officials, auditors, and tax agents.

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