Develop and implement financial plans, budgets, and forecasts aligned with the organization's strategic goals.
Provide insights and recommendations to senior management based on financial analysis.
Monitor cash balances, cash forecasts, and cash flow projections.
Implement strategies to optimize cash flow, such as managing receivables and payables effectively.
Oversee the preparation of monthly and quarterly management account, and annual financial statements in accordance with Singapore accounting standards and Singapore Financial Reporting Standards.
Develop and implement financial policies and procedures to enhance operational efficiency and safeguard company assets.
Conduct financial analysis to assess the company's performance, identify trends, and forecast future financial outcomes.
Prepare and present accurate and timely financial reports, including income statements, balance sheets, and cash flow statements.
Ensure compliance with accounting standards and regulations in financial reporting.
Communicate financial performance and key metrics to stakeholders, including senior management, investors, and board members.
Identify and assess financial risks facing the organization, such as market risks, credit risks, and operational risks.
Monitor risk exposures and implement controls to manage risk effectively.
Manage cash flow to ensure liquidity and meet financial obligations.
Develop and implement financial policies and procedures to enhance operational efficiency and safeguard company assets.
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