概述
薪资
10,000 SGD ~ 15,000 SGD
产业类别
Finance(Other)
工作内容
Our client is seeking a Finance Manager for Regional Consolidation & Cash Management, responsible for leading the finance function and ensuring strong governance across the Group’s regional entities.
【 Responsibilities 】
1. Financial Reporting & Group Consolidation
- Lead the preparation and review of consolidated financial statements across subsidiaries (Poland, Hungary, US, England, etc).
- Ensure compliance with IFRS/GAAP, local statutory rules, and Head Office reporting policies.
- Oversee month-end, quarter-end, and year-end closing to ensure timely submission to Tokyo HQ.
2. Treasury, Cash Management & Cash Pooling
- Manage and optimize the Group’s global cash pooling structure.
- Collaborate with banking partners to enhance liquidity and improve capital efficiency.
- Oversee intercompany funding and maintain documentation aligned with tax and transfer pricing guidelines.
3. Governance, Compliance & Audit
- Ensure full compliance with Singapore statutory requirements, including Companies Act and IRAS.
- Coordinate statutory audits and implement audit recommendations effectively.
- Strengthen internal controls to mitigate financial and operational risks.
4. Planning, Budgeting & Strategic Financial Management
- Lead budgeting, forecasting, and regional financial planning.
- Provide strategic financial insights to support management decisions.
- Monitor financial performance and escalate key issues promptly.
5. Process Improvement & Operational Excellence
- Identify operational gaps and implement process improvements in finance and treasury.
- Promote best practices to enhance accuracy, efficiency, and compliance across the Group.
- Guide and develop the Finance Team to maintain high performance standards.
资格
应征条件
【 Requirements & Preferences 】
(Must)
- Degree in Accounting, Finance, or a related field CPA qualification required
- Minimum 8 years of relevant experience, gained in Singapore and or Europe
- Hands-on experience in performing multi-country group consolidation for at least 5 five full cycles
- Proficient in Japanese (JLPT N2 or above) and business-level English, with the ability to communicate effectively with internal teams and stakeholders.
- Strong expertise in treasury management, cash pooling, and cross-border funding
- Experience liaising with international banks and working with treasury platforms
- Strong knowledge of IFRS/GAAP, as well as Singapore and EU regulatory frameworks
- Proven leadership skills with the ability to manage finance operations independently
- Excellent stakeholder management, analytical, and problem-solving abilities
- High level of integrity and professionalism, with strong attention to detail and project management skills
(Advantageous)
- Maintain stable, long-term employment of about five years with each employer
- Experience working in a listed company environment
- Proven hands-on experience in preparing monthly consolidated financial statements
- Familiarity with SAP, SAC, or comparable ERP systems英文
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