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GROUP FINANCE MANAGER
Job Description
Reporting to the FC, you will lead a team and be responsible for overseeing the full spectrum of finance and accounting operations including group consolidation, treasury as well as management reporting. You will play a key role in supporting on budgeting, forecasting as well as analysis of potential risks and opportunities for the business.
Job Responsibilities
· Responsiblefor Financial Planning & Analysis for the Group
· Provideeffective analysis of monthly Group results (P&L & Balance Sheet)against budget and previous year, including reporting on business performancemetrics
· Monitor andanalyse current and past trends in financial performance at Group and assetlevel and key performance indicators including revenue, EBIT and cashflow
· Drivequarterly cashflow projections, rolling forecasts, estimates and budgetpreparation and analysis reports for reporting to senior management anddirectors, including underlying key assumptions/drivers and trend analysis.
· Review ofthe Group's monthly forecast submissions from various business units andprovide insightful assessment on the forecast reasonableness.
· Drivecorporate deliverables for management reporting submissions from business units
· Work closelywith finance team supporting the business units on performance analysis.
· Prepareparameters of key performance indicators (KPIs) for CEO & HODs formeasurement and evaluation
· Assist inpreparation of annual report
· Undertakefinance-related projects on process improvements and automatiion as required
· Prepare andensure timely and accurate monthly consolidated financial statements andaccounts schedules
· ReviewingSubsidiary and Consolidation Accounts: Maintaining financial integrity acrossthe group.
· Navigatingcomplex tax regulations.
· Review andimplement procedures and policies to ensure compliance with regulatoryrequirements, as well as management of internal controls
· Liaise withexternal and internal auditors, tax agents and lawyers to support audit, taxand other statutory requirements
· ValuationExpertise: Engaging with valuers on PPA reports and call/put options.
· GST Returnsand XBRL Filing: Ensuring compliance with regulatory requirements.
· Regularlyreconcile and eliminate intercompany balances
· Handlinginternal audit and sustainability reporting
Job Requirements
As the successfulcandidate, you will possess a degree in Accountancy or ACCA with the followingrelevant experience:
· Degree in Accountancy or equivalent professional qualifications
· At least 5 to 8 years of relevant experience in group consolidation(including joint ventures, NCI, etc), treasury management as well as budgetingand forecasting
· Preferably with 4-5 years experience in Big 4 audit firms or SGX-listedcompanies (minimum mid-cap sized)
· Strong knowledge of IFRS or USGAAP
· Proven managerial exposure
· Strong analytical and problem-solving skills
· Committed, proactive andhands-on team player with an eye for details and multi tasking abilities
· Strong interpersonal skillsand able to engage different stakeholders
· Strong verbal and writtencommunication skills
· Strong organisational skills with ability to work independently
· Possess strong MS Office skills, especially Excel, Word and Powerpoint
Please note that we will only accept application received via [email protected] or Whatsapp (8834 3651). Applications through other channels or emails will NOT be entertained.
SINGAPORE PAINCARE HOLDINGS LIMITED
Singapore Paincare is a fully-established pain management center in South-east Asia, providing an alternative to open surgery. One Center is in Paragon Medical Suites and the other in Mount Elizabeth Novena Specialist Centre. Singapore Paincare focuses on eliminating and managing painful cond...
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