Manager, Group Finance & Accounting, Group Finance at Frasers Property
Singapore, , Singapore -
Full Time


Start Date

Immediate

Expiry Date

28 Jun, 26

Salary

0.0

Posted On

30 Mar, 26

Experience

5 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Month-End Closing, Financial Statements Preparation, External Audit Liaison, Analytical Reporting, Cash Flow Management, Cash Flow Forecasting, Foreign Exchange Analysis, Management Reporting, Budgeting, Tax Query Handling, GST Submission, SAP Knowledge, Analytical Mindset, Independent Work, Stakeholder Management, Communication

Industry

Real Estate

Description
Job Summary An exciting opportunity for a Finance Manager to join our Group Finance team, leading treasury accounting and reporting activities. The role offers exposure to cash flow management, financial analysis, and strategic decision support, while partnering closely with internal stakeholders and external auditors. The successful candidate will be a member of the Group Finance & Accounting team.  Job Description Perform month-end closing activities for the Group’s treasury company and investment holding companies, ensuring accuracy and timeliness Prepare year-end financial statements and support the overall financial closing process Liaise with external auditors on treasury-related matters, ensuring all audit requirements are addressed promptly Prepare analytical reports, including detailed reviews of balances, movements, and variances Develop and maintain reports on actual cash flow, cash flow forecasts, and foreign exchange (FX) analysis Support management reporting by delivering insights and fulfilling additional treasury-related deliverables as required Assist in the preparation of forecasts and budgets as part of the annual budgeting exercise Handle tax-related matters, including responding to tax queries and coordinating with relevant stakeholders Prepare and file quarterly GST submissions in compliance with regulatory requirements Undertake ad-hoc assignments and projects as required by management Key Qualification Bachelor’s degree in Accounting Minimum 5 years of relevant experience in finance, treasury, or accounting roles Strong understanding of financial reporting standards and treasury operations Experience working with external auditors and tax matters Knowledge of SAP is preferred (good to have) Strong analytical mindset with attention to details Ability to work independently and meet tight deadlines Excellent communication and stakeholder management skills
Responsibilities
This role involves leading treasury accounting and reporting activities, including performing month-end closing for treasury and investment holding companies and preparing year-end financial statements. Responsibilities also cover preparing analytical reports, managing cash flow, handling tax matters, and filing quarterly GST submissions.
Loading...