Key Responsibilities include:
- Financial Reporting & Close: Lead accurate, timely month-end close (≤5–7 days), deliver management and statutory reports, ensure clean consolidations, and provide clear variance analysis.
- Governance & Compliance: Maintain strong internal controls, achieve clean audit outcomes, and ensure on-time statutory, tax, and regulatory filings.
- Tax & Audit Management: Oversee tax compliance, minimize tax risk, manage audits efficiently, and maintain effective relationships with auditors and regulators.
- Treasury & Cash Flow: Manage liquidity and cash forecasting, optimize banking facilities, improve working capital (DSO/DPO), and enforce treasury controls.
- Budgeting & Forecasting: Own budgets and rolling forecasts, drive cost control, and ensure CapEx discipline.
- ERP & Process Improvement: Lead ERP implementations and automation initiatives, improve data integrity, and shorten financial cycle times.
- Strategic Finance Support: Provide value-added financial insights, identify and mitigate risks, support trade finance initiatives, and partner with senior management and the board.
- Diploma in Finance, Accounting, Business Administration or a related field
- Minimum 3 to 5 years of experience in a finance or accounting role
- Strong knowledge of financial management, accounting principles, and financial reporting standards (GAAP/IFRS)
- Ability to work in a fast-paced environment and manage multiple priorities
Faststream Recruitment Pte Ltd, EA Licence no: 09C3403