Our Client is a well-established homegrown Recreation, Sports & Events Company whose focus is on collaborative, family-cultured, and community outreach & activities within the public and private sector.
Job Scope:
Manage a team of experienced finance professionals to oversee financial operations of the Company and to develop and implement financial strategies, policies, budget, forecast and etc.
Ensure all financial transactions, policies, and procedures align with business objectives and comply with the Singapore financial regulations and standards
Drive financial performance and ensure sustainable growth with leadership collaboration
Assess and identify risks and / or financial impact of projects, initiatives and new business opportunities with strong analysis and evaluation skillsets.
Financial consolidation reporting, budgeting, and forecasting activities
Preparation of monthly, quarterly, half-yearly, yearly, and ad hoc financial reports
Perform treasury functions including overseeing cash flow forecasting and management
Continuous improvement of FP&A processes, methodologies, reports and systems to enhance efficiency and effectiveness in financial reporting, forecasting and analysis.
Develop and oversee the annual budgeting process, ensuring alignment with strategic goals
Execute financial strategies, including tax, insurance, budgeting, credit, audit and treasury functions.
Conduct detailed variance analysis, trend analysis, profitability analysis, and etc, to compare actual financial results against historical data and benchmarks to support decision making
Generate comprehensive reports and visualizations that highlight financial insights, risks, and opportunities
Requirements:
Bachelor's degree in Accounting/ Finance or a related field
Professional certification (e.g., CPA, CFA) preferred
At least 8 to 10 years of relevant work experience, preferably in a start-up environment
Independent Team Player, Detailed and meticulous
Strong communication, interpersonal and influencing skillsets to build positive relationships and achieve desired outcomes.
Hands-on knowledge on integrating finance technology solutions such as ERP system, SaaS platforms, financial modelling software and etc
Ability to lead and train team in digital transformation initiatives in the financial function
Proven track record in managing cash flow, liquidity, and financial risks through effective treasury management practices and the use of hedging instruments (e.g., derivatives) to mitigate foreign exchange and interest rate risks
To apply, please send a copy of your resume to belindayangsh@antares.com.sg
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 short-listed candidates will be notified.
Belinda Yang Shun Hua
+65 93476558 | belindayangsh@antares.com.sg
[Antares Management Services Pte Ltd]
EA: 25C3031 | Reg No. R1110895
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