Responsibilities:
- Ensure the timely and accurate preparation and submission of management and statutory financial reports.
- Provide stakeholders with insightful and relevant financial analysis to support informed management decisions.
- Oversee the Group’s treasury functions, including cash flow planning and banking operations.
- Lead and enhance the budgeting and forecasting processes.
- Develop, update, and implement policies and procedures that adapt to evolving business needs while maintaining strong internal controls.
- Ensure full compliance with statutory, tax, and regulatory obligations.
- Collaborate with banks, external auditors, tax consultants, and corporate secretarial agents.
- Handle reporting duties for SGX compliance.
- Conduct financial analysis of industry trends and present findings to senior management.
- Undertake any other ad-hoc finance responsibilities as required.
Requirement:
- Degree in Accountancy, ACCA or CPA qualification or any relevant field.
- Minimum 8 years of relevant working experience.
- Expertise in budgeting, forecasting, financial planning and treasury management
- Experience working in an SGX Listed company would be an added advantaged
How to apply:
By submitting any application or resume to us, you will be deemed to have agreed and consented to us disclosing your personal information to prospective employers for their consideration.
We regret only shortlisted candidates will be notified.
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Registration No.: R1101084
EA License No.: 20C0426 (Elitez & Associates)