JOB DESCRIPTION
- Preparation and support the monthly management reporting process, including liaison with other functions and business unit to gather the relevant information;
- Prepare short-term cashflow forecast and ad-hoc financial analyses to support decision-making;
- Maintain and analyze financial models to evaluate long-term projections and business plans;
- Assist in preparation of annual budgets, forecasts and long-term financial plans;
- Identify and implement improvements to financial processes and systems to enhance efficiency and accuracy;
- Support merger & acquisition and divestment projects;
- Assist in corporate projects and related SGX announcements;
- Assist in the preparation of accounting memo for new acquisitions and provide accounting related support; and
- Any other adhoc projects or duties as assigned by the managers
JOB REQUIREMENTS
- Degree in Finance, Accounting, or related field
- At least 3 years of relevant work or audit experience
- Strong analytical skills and attention to details
- Proficiency in financial modelling and advanced Excel skills
- Ability to work collaboratively in a team environment
- Experience in a FP&A role and knowledge of consolidation software will be an added advantage