jobs in Comopack Pte Ltd

Kerja Sepenuh Masa, Finance Manager di Comopack Pte Ltd - Maukerja

Finance Manager

Comopack Pte Ltd

Undisclosed

Singapore

Kongsi
Simpan

Lokasi Kerja

  • Singapore

Penerangan Kerja

Tanggungjawab

Company Description Comopack Pte Ltd is a global provider of KLT containers and fully reconfigurable dunnage solutions that can be rented and shipped across continents, with end-to-end maintenance, delivery, and collection managed by the company. Comopack is transforming supply chains through innovative packaging solutions that support a wide range of industries. The company’s solutions help customers reduce costs, customize packaging to their specific needs, and meet sustainability targets. Comopack is driven by the mission to “pack for a better world,” combining operational efficiency with environmental responsibility.


Role Description The Finance Manager is a full-time, on-site role based in Singapore. This role oversees day-to-day financial operations, including budgeting, forecasting, cash flow management, and financial reporting. The Finance Manager prepares monthly and annual accounts, monitors cost structures, and ensures accurate and timely closing of financial periods. The role is responsible for maintaining internal controls, supporting audits, and ensuring compliance with local accounting standards, tax regulations, and corporate policies. The Finance Manager partners with leadership to analyze financial performance, develop business cases, support strategic decisions, and optimize financial processes to sustain growth in a global logistics and packaging environment.


Key responsibilities

Accounting & Financial Reporting

•        Manage financial operations including payment processing, accounts receivable and accounts payable functions.

•        Review full set of accounts for multiple local and overseas entities.

•        Review monthly financial reports, management accounts, supporting schedules

•        Prepare quarterly GST return submission.

•        Preparation of budget and forecast (FP&A).

•        Review bank reconciliations and ensure proper recording of transactions.

•        Oversee year-end audit and liaise with external auditors.

•        Ensure compliance with accounting standards and company policies.

Treasury & Cash Flow Management

•        Monitor company cash flow position and prepare cash flow projections.

•        Coordinate banking transactions and online payment processing.

•        Liaise with banks on banking facilities, fund transfers, and account matters.

•        Monitor funding requirements and support liquidity management.

•        Oversee overseas Capex projects

HR, Compliance & Administration

•        Preparation of statutory submissions and tax-related matters.

•        Support internal control and compliance processes.

•        Perform any other duties and responsibilities that may be assigned

•        Handle communications with key stakeholders

Peringatan Penting

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