Finance Director
- Recruiter
- None
- Location
- Singapore, SG
- Salary
- Competitive salary
- Posted
- 01 Jan 2021
- Closes
- 28 Jan 2021
- Ref
- 1909801926
- Job role
- Finance director
- Sector
- Accounting - Public practice
- Experience level
- Director
POSITION SUMMARY
Manage the day-to-day financial activities of the organization; control its financial resources and ensure that all financial transactions, systems and procedures comply with regulations, accounting principles, and standards. Activities may include: financial analysis and reporting; taxation; insurance; credit control; accounts payable and receivable; inventory and costs control; and budgeting and forecasting.
The Finance Director works closely with founder, management team, and other overseas entities.
JOB RESPONSIBILITIES
Financial Planning
· Support founder, management team, and other overseas entities to organize short/mid-term strategic financial plan
· Short/mid-term Budget planning
Regional Finance Head Quarter Management
· Financial Analysis / monitoring of the group company
· Financial Consolidation of group companies
· Special study of tax/accounting/commercial law of regional countries
Standardize Procedures
· Standardize Daily/Weekly/Monthly work and make procedures clearly so that improve routine work more efficiently
Payment Management
· Daily/Weekly/Monthly all invoices and payment voucher management including staff claims
Financial Book Closing
· Monthly/Quarterly/Yearly book closing
Financial Reporting
· Monthly/Quarterly/Yearly financial reporting to the founder
Cash flow Management
· Weekly/Monthly cash flow management
· Bank payment management
Corporate Tax / Financial Audit
Liaising with the external accountant for Company Tax and Year-end company financial audit management
Other Requests
· Handle/Manage time to time requests from Founder and Management team
Company/Branch Establishment Set up
· Establish new branch/subsidiary's accounting system and cash management system
Education level and/or relevant experiences
· A Bachelor's degree in Finance and Accounting
· CPA Holder
· Minimum of 5 - 6 years' experience in Consolidated financial operations
Knowledge and Skills
· Computer Literacy: MS Windows' applications
· Excel, Word, Power Point and Excellent Presentation skills
· Accounting work experience
POSITION SUMMARY Manage the day-to-day financial activities of the organization; control its financial resources and ensure that all financial transactions, systems and procedures comply with regulat
Skills: Accounting, Accounts Payable, Budgets, Business Analysis, Financial Analysis, Financial Reporting, Inventory Management, Management, Managerial Finance, Process Improvement, strategic financial planning, Strategic Planning, Strategy, Control, System, Credit Control
Experience: 5.00-7.00 Years
Manage the day-to-day financial activities of the organization; control its financial resources and ensure that all financial transactions, systems and procedures comply with regulations, accounting principles, and standards. Activities may include: financial analysis and reporting; taxation; insurance; credit control; accounts payable and receivable; inventory and costs control; and budgeting and forecasting.
The Finance Director works closely with founder, management team, and other overseas entities.
JOB RESPONSIBILITIES
Financial Planning
· Support founder, management team, and other overseas entities to organize short/mid-term strategic financial plan
· Short/mid-term Budget planning
Regional Finance Head Quarter Management
· Financial Analysis / monitoring of the group company
· Financial Consolidation of group companies
· Special study of tax/accounting/commercial law of regional countries
Standardize Procedures
· Standardize Daily/Weekly/Monthly work and make procedures clearly so that improve routine work more efficiently
Payment Management
· Daily/Weekly/Monthly all invoices and payment voucher management including staff claims
Financial Book Closing
· Monthly/Quarterly/Yearly book closing
Financial Reporting
· Monthly/Quarterly/Yearly financial reporting to the founder
Cash flow Management
· Weekly/Monthly cash flow management
· Bank payment management
Corporate Tax / Financial Audit
Liaising with the external accountant for Company Tax and Year-end company financial audit management
Other Requests
· Handle/Manage time to time requests from Founder and Management team
Company/Branch Establishment Set up
· Establish new branch/subsidiary's accounting system and cash management system
Education level and/or relevant experiences
· A Bachelor's degree in Finance and Accounting
· CPA Holder
· Minimum of 5 - 6 years' experience in Consolidated financial operations
Knowledge and Skills
· Computer Literacy: MS Windows' applications
· Excel, Word, Power Point and Excellent Presentation skills
· Accounting work experience
POSITION SUMMARY Manage the day-to-day financial activities of the organization; control its financial resources and ensure that all financial transactions, systems and procedures comply with regulat
Skills: Accounting, Accounts Payable, Budgets, Business Analysis, Financial Analysis, Financial Reporting, Inventory Management, Management, Managerial Finance, Process Improvement, strategic financial planning, Strategic Planning, Strategy, Control, System, Credit Control
Experience: 5.00-7.00 Years