about the company
A leading global specialist in industrial manufacturing and high-performance equipment, this organization maintains a significant international footprint with operations spanning over 100 countries. This is a specialized opportunity for a finance professional to manage the full spectrum of accounting operations and regulatory reporting
about the job
- Manage the preparation of monthly financial statements, P&L reports, and comprehensive cash flow analysis.
- Oversee daily treasury functions including collections, debtor management, and authorized payment processing.
- Support the annual statutory audit process and ensure timely submission of GST returns.
- Facilitate budgeting and variance analysis while coordinating closely with global finance counterparts.
- Drive process improvements and optimize cash flow management within the Singapore entity.
skills and...