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Senior Finance Manager

CS International (S) Pte Ltd

Singapore

On-site

SGD 90,000 - 120,000

Full time

6 days ago
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Job summary

A leading finance company in Singapore is seeking a Senior Finance Manager to oversee financial functions, including accounting, audit management, and banking activities. The ideal candidate will have a degree in Finance or Accounting, CPA/ACCA certification, and at least 10-12 years of relevant experience. This role requires strong technical knowledge, analytical skills, and the ability to manage a team in a fast-paced environment.

Qualifications

  • At least 10-12 years of relevant experience, with prior experience in an audit firm.
  • Able to multitask and work independently.
  • Good team player with business partnering skills.

Responsibilities

  • Oversee financial accounting for all group companies.
  • Prepare monthly consolidated accounts and management reports.
  • Manage all banking activities and monitor group cash flow.

Skills

Strong technical knowledge in SFRS
Analytical skills
Communication skills
Interpersonal skills
Attention to detail

Education

Degree in Finance or Accounting
CPA / ACCA or equivalent

Job description

Reporting directly to the Regional Head, the Senior Finance Manager will oversee the full spectrum of finance functions for the Group. This is a hands-on role that requires strong technical expertise, financial acumen, and the ability to manage a small team.

As a Senior Finance Manager of CS Group, your key responsibilities include:

Financial accouting of all group companies.

  • Supervise the input, accuracy, and reporting of financial data in the company's systems.

  • Prepare monthly group consolidated accounts, management reports, and perform financial analysis.

  • Review and analyse subsidiary financials and reporting.

Audit/ tax management and reporting

  • Oversee annual statutory audits, prepare financial reports in compliance with local regulations, and support joint venture audit processes.

  • Ensure full tax compliance, including GST, VAT, and withholding tax filings. Liaise with tax authorities on all queries and submissions.

  • Work closely with auditors and tax agents to complete audits and ensure timely submission of audited financials, ECI, and tax returns.

  • Coordinate with the corporate secretary on board resolutions and Annual Return filings.

Banking and cash management

  • Manage all banking activities, including account openings, changes to signatories, and foreign currency transactions.

  • Monitor group cash flow, oversee the funding process, and prepare weekly and monthly cash reports.

  • Handle post-financing compliance and reporting, ensuring bank covenant requirements are met.

  • Coordinate interest payments, drawdowns, and banking communication

  • Any other ad-hoc projects and duties as assigned.

Job Requirements

  • Degree in Finance or Accounting, with CPA / ACCA or equivalent professional qualificationAt least 10-12 years of relevant experience, with prior experience in an audit firm

  • Strong technical knowledge in SFRS, statutory reporting, and cost control

  • Able to multitask, hands-on, detail-oriented, and able to work independently with strong business partnering skills

  • Good team player and possess good analytical, communication and interpersonal skills.

  • Pro-active, self-motivated and eager to acquire knowledge.

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