About the role
We are looking for a Group Finance Manager to strengthen the Group’s financial discipline and operational finance management.
This role is suitable for candidates with experience in a Singapore-listed company environment, who are able to manage financial reporting, corporate governance requirements and cash flow management across the Group.
The successful candidate will work closely with the Board of Directors, management and external stakeholders, ensuring financial operations are executed with discipline, accountability and timeliness.
What you'll be doing
Manage and monitor Group cash flow, including accounts receivable (AR) collections and accounts payable (AP) discipline
Strengthen working capital management and payment control, with strong discipline in enforcing AR collections and AP payment control
Review monthly management accounts, ensuring accuracy and timeliness
Coordinate annual reports, SGX announcements, AGM matters and board papers
Liaise with external auditors, internal auditors, sponsor and company secretary
Oversee audit processes and financial reporting deliverables
Ensure compliance with accounting standards and internal controls
Support budgeting, forecasting and financial analysis
Supervise the finance team and ensure clear accountability and execution
Provide strategic direction and guidance to the Finance team.
Foster collaboration and continuous improvement.
Regional exposure is required
Strong knowledge of accounting standards and statutory reporting.
Proficiency in Microsoft Excel and PowerPoint.
Excellent analytical, problem-solving, and communication skills.
Prepare, analyze, and present regional financial reports, budgets, forecasts, and performance metrics to senior management.
Ensure compliance with local financial regulations, tax laws, and reporting standards in each country.