Accountant - Cash Flow (MNC / Construction) at Trust Recruit Pte Ltd
Singapore, Southeast, Singapore -
Full Time


Start Date

Immediate

Expiry Date

09 May, 25

Salary

0.0

Posted On

09 Feb, 25

Experience

0 year(s) or above

Remote Job

No

Telecommute

No

Sponsor Visa

No

Skills

Finance, Management Skills, Forecasting, Microsoft Excel, Communications

Industry

Financial Services

Description

(WEST REGION) - TANJONG KLING ROAD

Job highlights:

  • Cash flow management, planning, analysis
  • Japanese speaking is required to liaise with internal stakeholders

JOB SUMMARY:

The Senior Cash Flow Analyst is responsible for monitoring, analyzing and forecasting Group Cash Flow to ensure financial stability and support decision-making. The role focus on optimizing liquidity, managing working capital and involves monitoring projects and entities’ cash flow and ensure compliance with treasury policies.

REQUIREMENTS:

  • Bachelor’s degree in relevant fields in Finance or Accounting
  • Business proficiency in Japanese language is required to liaise and facilitate communications between Japanese parent company
  • Strong analytical and numerical skills
  • Proficiency in financial modelling and forecasting tools
  • Advance knowledge of Microsoft Excel and has experience in SAP systems
  • Attention to detail and problem -solving abilities
  • Effective communication and stakeholder management skills
Responsibilities
  • Track inflow and outflow across all project accounts
  • Maintain updated records of the Group’s cash position
  • Ensure sufficient liquidity to meet short-term obligations
  • Develop and update short-term and long-term cash flow forecasts
  • Analyze historical data and trends to improve forecasting accuracy
  • Provide scenario analysis for cash flow under various business conditions
  • Prepare monthly cash flow and working capital reports for management
  • Conduct variance analysis to compare actual cash flow against job opening and Plan
  • Identify and report on trends, risks and opportunities in cash flow
  • Work with finance and operations teams to gather inputs for cash flow analysis
  • Coordinate with accounts receivable and payable teams to improve cash conversion cycles
  • Analyze and recommend strategies to improve working capital management
  • Monitor and optimize payment and collection schedules
  • Support the implementation of cash flow hedging strategies
  • Ensure compliance with internal policies and regulatory requirements
  • Automate and streamline cash reporting and forecasting processes
  • Implement tools and systems to enhance visibility into cash flow
  • Assist in audits and provide required documentation related to cash flow.
  • Facilitate communication with Japanese parent company
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