Get more replies from employers
Send a job-specific resume in minutes.
FUBANG RESOURCES (SINGAPORE) PTE. LTD. is seeking an experienced Finance Manager to oversee daily financial operations and align Singapore-China finance processes.
The role handles local tax filings, ensures SFRS compliance, and drives internal control improvements. You will coordinate with auditors, maintain relationships with banks and authorities, and support financing activities, including cross‑border capital management and trade finance operations.
Dynamic and Vibrant Working Environment
Work Life Balance
Working Distance to Clarke Quay MRT
Overall oversee the daily financial operations and management of the Singapore company, establish and maintain an efficient collaboration mechanism with the domestic finance team in China, synchronously advance the connection of financial work between the two regions, and ensure the smooth running of financial processes and the accuracy and consistency of financial data.
Independently handle all types of local tax filings in Singapore, including but not limited to the calculation, filing and filing for record of corporate income tax and Goods and Services Tax (GST). Strictly comply with the Singapore Financial Reporting Standards (SFRS) and the relevant laws and regulations of the Inland Revenue Authority of Singapore (IRAS) to ensure zero risks of tax compliance.
Take the lead in optimizing the company's financial processes and internal control system, sort out the pain points of existing financial links, put forward rational improvement suggestions and drive their implementation; cooperate with the domestic team to complete the annual audit work, be responsible for the full-process communication and coordination with external auditors, provide the required financial information and answer audit inquiries to ensure the efficient completion of the audit work.
Maintain good cooperative relationships with audit institutions, banks, tax authorities and various external professional consultants, respond to the communication needs of external institutions in a timely manner, accurately transmit the company's financial information, and ensure the orderly progress of all finance-related cooperation.
Monitor banking policies and financing market developments to support the company's financing activities.
Support trade finance operations, including Letters of Credit (LC), (BG), Trust Receipts (TR), import financing, and other banking facilities.
Possess hands-on experience in bank financing; familiar with the full procedures of credit line approval, working capital loans, bill discounting and other financing businesses, capable of independently liaising with banks to prepare relevant documents and follow up loan disbursement.
Take overall charge of cross-border foreign exchange and investment & financing businesses, control compliance of cross-border capital flows, formulate exchange rate risk management strategies, and mitigate exchange gains or losses.