Our client is a growing organisation with multiple business entities and is looking for an experienced Finance Manager to strengthen its finance operations and support business growth.
Key Responsibilities
Financial Reporting & Group Finance
- Lead monthly, quarterly and annual financial reporting for the Group and its subsidiaries.
- Review financial results, consolidation and accounting treatments to ensure accuracy and compliance.
- Prepare management reports and provide meaningful financial insights to support business decisions.
Budgeting, Forecasting & Analysis
- Lead the annual budgeting process and rolling forecasts.
- Conduct financial analysis, modelling and commercial evaluation to support business planning.
- Identify cost-saving opportunities and recommend improvements to enhance financial performance.
Cash Flow & Treasury
- Prepare and monitor cash-flow forecasts and ensure effective cash-flow management.
- Oversee supplier payments and working capital management.
- Liaise with banks and financial institutions on banking matters and financing requirements.
Tax, Audit & Compliance
- Oversee tax compliance, including tax computations, estimates and submissions.
- Coordinate with external auditors and ensure timely completion of year-end audit.
- Ensure statutory and financial reporting requirements are met.
- Maintain proper finance, corporate and statutory documentation.
Finance Operations & Team Leadership
- Review and improve accounting processes, systems and internal controls.
- Lead, coach and develop the Finance team.
- Ensure smooth day-to-day finance operations while maintaining strong financial discipline and accuracy.
- Work closely with other departments and management on finance-related matters and business initiatives.
Requirements
- Degree or professional qualification in Accounting, Finance or a related discipline.
- Around 7–10+ years of progressive experience in accounting and finance.
- Candidates currently at Assistant Finance Manager level who are ready for a Finance Manager step-up are welcome to apply.
- Strong experience in financial reporting, budgeting, forecasting, cash flow and audit coordination.
- Experience in group consolidation and managing accounts for multiple entities will be an advantage.
- Good understanding of tax and statutory compliance.
- Strong Excel and accounting-system skills.
- Candidates from Property Development, Construction, F&B, Retail or other project-based industries are welcome.
- Strong analytical, communication and stakeholder management skills.
- Comfortable working in a hands-on environment and taking ownership of finance matters.