Lead financial planning, budgeting, forecasting, and long-term financial strategy for all hotel properties.
Oversee full financial operations including accounting, auditing, cash flow, capex, procurement, and tax compliance.
Ensure accurate and timely monthly, quarterly, and annual financial reporting in compliance with local regulations and corporate policies.
Conduct in-depth financial analysis to support executive decision-making and business growth strategies.
Partner with General Managers and operational leaders to optimize cost control, pricing, and revenue management.
Ensure compliance with all statutory regulations including IRAS, ACRA, and GST, as well as group-level audit standards.
Manage relationships with external auditors, banks, vendors, and tax authorities.
Implement and maintain internal controls, risk management processes, and financial SOPs across all entities.
Requirements
Strong working knowledge of hotel-specific financial systems
Excellent command of Excel modeling, financial dashboards, and management reporting tools.
Familiarity with Singapore financial, tax, and regulatory landscape.
Demonstrated ability to lead finance teams and collaborate across departments and cultures.
* Able to work on weekend and public holiday
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