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Jobs in Singapore   »   Jobs in Singapore   »   Sales / Marketing Job   »   Corporate Finance Manager
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Corporate Finance Manager

Flexxon Pte. Ltd.

As a Corporate Finance Manager, you will play a crucial role in shaping the financial health of the company, ensuring compliance, and contributing to strategic decision-making.


Responsibilities:

  1. Tax Strategy and Compliance:Develop and implement effective tax strategies to optimize the company's tax position.
    Ensure compliance with local and international tax regulations.
    Provide guidance on tax implications for various corporate activities.
  2. Investment Analysis and Decision Support:Conduct financial analysis to evaluate potential investments and business opportunities.
    Collaborate with various departments to assess the financial viability of projects.
    Assist in making informed investment decisions aligned with corporate goals.
  3. RSU (Restricted Stock Units) Management:Administer and manage the company's RSU program.
    Coordinate with HR to communicate RSU grants to employees.
    Monitor vesting schedules and collaborate with relevant teams for accurate accounting.
  4. Financial Planning and Analysis (FP&A):Prepare and analyze financial statements, budgets, and forecasts.
    Provide insights and recommendations to improve financial performance.
    Collaborate with senior management in strategic financial planning.
  5. Risk Management:Identify and assess financial risks, proposing mitigation strategies.
    Monitor market trends and regulatory changes affecting the company's financial position.
    Develop risk management policies to safeguard corporate assets.
  6. Corporate Budgeting:Lead the annual budgeting process, working with department heads to establish financial goals.
    Track and analyze budget variances, providing explanations and corrective actions.
  7. Finance Function : Manage finance accounting function, including but not limited to financial reporting, taxation, external audit, bookkeeping,accounting policies, etc.

Requirements:

  1. Educational Background:Bachelor's degree in Finance, Accounting, or a related field. A Master's degree or professional certification (e.g., CFA, CPA) is a plus.
  2. Experience: 5+ years of progressive experience in corporate finance, taxation, and investment analysis.
    Previous experience in RSU management and knowledge of equity compensation programs.
  3. Analytical Skills:Strong financial modeling and analysis skills.
    Ability to interpret complex financial data and provide actionable insights.
  4. Communication and Collaboration:Excellent communication skills to convey financial information to various stakeholders.
    Collaborative mindset to work with cross-functional teams and external partners.
  5. Strategic Thinking:Ability to think strategically and contribute to the development of the company's overall financial strategy.
  6. Regulatory Knowledge:In-depth understanding of tax laws and regulations, both locally and internationally.
    Stay updated on industry trends and changes in financial regulations.
  7. Technology Proficiency:Proficient in financial software and tools. Knowledge of ERP systems is an advantage.


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