141 Corporate Finance jobs in Singapore
Corporate Finance
Posted today
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Industry: Process Construction
Location: Pioneer MRT
Reports To: Managing Director / CFO
Department: Finance & Administration
Employment Type: Full-time
Job Summary:
We are seeking a strategic and detail-oriented Corporate Finance & Administration Manager to lead our finance, administration, and compliance functions in the process construction industry. This role will oversee project-based financial planning, cost control, contract compliance, and administrative management to ensure operational efficiency and long-term financial stability. The ideal candidate brings a solid background in construction finance, a mastery of cost control for EPC (Engineering, Procurement & Construction) or process plant projects, and proven leadership experience in corporate administration.
Key Responsibilities:
Construction Finance & Accounting:
- Lead the financial management of projects, including budgeting, forecasting, cost tracking, and reporting against planned margins.
- Collaborate with project managers, quantity surveyors, and procurement teams to ensure cost control and financial discipline across all active projects.
- Manage cash flow planning for both corporate and project levels, ensuring availability of funds for operational and capital needs.
- Oversee job costing, WIP (Work in Progress) reporting, and reconciliation of project financials.
- Implement project accounting standards in compliance with local regulations and industry best practices.
Corporate Finance:
- Provide financial input on bids, tenders, and feasibility studies for new projects.
- Conduct investment appraisals, scenario analysis, and profitability reviews for major contracts and capital expenditures.
- Support strategic planning, mergers, acquisitions, and financing strategies as needed.
- Maintain strong relationships with banks, insurers, auditors, and key financial partners.
Administration & Compliance:
- Oversee administrative functions including office management, procurement contracts, vendor management, and document control.
- Ensure compliance with local construction laws, tax regulations, labor laws, and safety standards.
- Supervise insurance and bonding requirements for projects, including performance bonds, retention management, and liability coverage.
- Ensure contract documentation is properly managed and all regulatory filings are accurate and timely.
Leadership & Team Management:
- Lead and develop a high-performing finance and administration team.
- Promote a culture of transparency, accountability, and collaboration across departments.
- Provide training and mentoring to support employee development.
Requirements:
- Master's Degree in Accounting, Finance, Business Administration, or related field.
- Professional certification such as CPA, ACCA, CMA, or equivalent.
- Minimum of 10 years' experience in finance/accounting, with at least 3 years in a managerial position within the construction or engineering sector.
- Deep understanding of project-based accounting, construction cost control, and contract financial management (EPC or process construction experience preferred).
- Proficient with construction ERP systems
- Familiarity with local contract frameworks is a plus.
- Strong leadership and interpersonal skills with the ability to communicate financial insights to non-financial stakeholders.
Preferred Qualifications:
- Experience in process or industrial plant construction (e.g., oil & gas, petrochemical, water treatment, or energy sectors).
Compensation & Benefits:
- Competitive salary package
- Project performance incentives or bonuses
- Medical and insurance benefits
- Retirement or provident fund contributions
- Professional development and certification support
Corporate Finance Director
Posted 7 days ago
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Overview
We are seeking an accomplished finance leader to join a leading global asset manager with a diversified investment portfolio. This role will play a pivotal part in shaping and executing corporate finance strategies that drive growth, optimize capital structures, and build confidence among key stakeholders.
Responsibilities- Drive end-to-end corporate finance initiatives, including capital raising, M&A, and complex deal structuring.
- Optimize the company’s capital structure, manage financial and tax considerations, and develop funding strategies to mitigate risks.
- Engage with banks, investors, and rating agencies to articulate the company’s financial strategy.
- Lead and mentor a high-performing team to deliver long-term growth and value creation.
- Degree in Finance/Accounting, or related field with professional accreditation; Bachelor’s degree in Accountancy, Finance, Economics or related discipline.
- Relevant years of experience in corporate finance, investment banking, or financial strategy in a senior leadership capacity.
- Deep knowledge of capital markets, fundraising (debt and equity), and complex financial structuring.
- Experience in large-scale financing transactions, with exposure to infrastructure and real estate sectors considered a strong advantage.
- Outstanding and effective communication, negotiation, and stakeholder management abilities.
- Demonstrated success in leading significant financial transactions and engaging senior-level stakeholders.
- A strategic and agile leader who thrives in fast-paced, evolving business environments.
To apply online please use the 'apply' function, alternatively you may contact Dylan directly at .
(EA: 94C3609/R )
COVID-19 Vaccination Policy: Applicants must be fully vaccinated or have a valid exemption in accordance with MOM’s regulations to allow them to enter the workplace. Applicants may be required to share verifiable COVID-19 vaccination documents or proof of a valid exemption at the point of offer. Randstad Pte. Limited and/or the Client reserves the right to withdraw an offer if the applicant fails to provide verifiable COVID-19 vaccination and/or proof of exemption documents.
#J-18808-LjbffrParalegal (Corporate & Finance)
Posted today
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- Perm
- Must have at least 4 years of experience as a Paralegal within Corporate, Banking or Finance practice.
- Comfortable working with regional stakeholders and various timezones.
As a Paralegal in the Corporate & Finance team, you will support lawyers on a wide range of cross-border corporate and finance transactions. This is a hands-on role involving direct client interaction, transaction management, and legal research. You will work closely with our partners and associates on high-profile matters for leading financial institutions, multinational corporations, and private equity clients.
Key Responsibilities- Assist with the preparation, review, and organisation of legal documents, including agreements, contracts, and transaction checklists.
- Support the execution and closing of corporate, banking, and finance transactions.
- Manage document signing and post-closing procedures, including filings and registrations with relevant authorities.
- Conduct legal and regulatory research as required.
- Coordinate with internal teams, clients, and external counsel to progress matters efficiently.
- Maintain and update precedents, matter files, and internal databases.
- Provide general administrative and paralegal support to the Corporate & Finance team.
- Degree in Law or a Paralegal/Legal Studies diploma (or equivalent qualification).
- At least 4 years of paralegal experience in a law firm or financial institution (corporate, banking, or finance practice preferred).
- Strong organisational skills with the ability to handle multiple matters under tight deadlines.
- Excellent communication skills (written and verbal).
- Detail-oriented, proactive, and a strong team player.
- Familiarity with corporate filings and finance documentation will be an advantage.
Triton AI Pte Ltd
Registration Number: R
EA: 21C0661
Corporate Finance Executive
Posted today
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(Job ID: )
Responsibilities:
- Assist in the entire end-to-end process for project and corporate financing of vessels, including drafting Request for Financing (RfP) proposals & negotiating term sheets; collating and preparing due diligence information requested by potential lender(s); reviewing various legal contracts such as shipbuilding contracts, charter contracts & loan facility documents; and collating conditions precedent & conditions subsequent.
- Prepare presentations to support internal decision making, and papers for senior management and Board approvals.
- Assist in the execution of hedging strategies to mitigate interest rate and foreign exchange risks.
- Support affiliate companies in covenant tracking and monitoring of various secured credit facilities.
- Participate in the due diligence process and evaluation of investment opportunities.
- Stay current on ship financing related activities and shipping industry trends.
- Support various investment and M&A projects by using variety of valuation techniques, such as the times-revenue method, cash discounted flow method, and earning multiplier, to determine the purchase price of a target company.
- Provide ad hoc support for other treasury related activities as required from time to time.
Requirements:
- Preferably experienced with Ship finance or other asset-backed financing, corporate banking, loan portfolio management, loan agency, or loan documentation-related function in a bank corporate finance or tax advisory experience
- Preferably Degree from Maritime Business or Finance related.
- Demonstrated ability to review and interpret legal contracts will be favorably considered.
- Proficient in Microsoft Office suite especially Excel.
- Attention to detail & Team player
- Familiarity with the use of Bloomberg Terminal is an added advantage.
We regret that only shortlisted candidates will be notified. However, rest assured that all applications will be updated to our resume bank for future opportunities.
Please kindly refer to the Privacy Policy of Good Job Creations for your reference:
EA Personnel Name: Cesky Ong Zhi Rong
EA Personnel Registration Number: R
EA License No.: 07C5771
Corporate Finance Manager
Posted today
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The CompanyOur client is seeking a for an analytical Corporate Finance Manager to join their regional entity. In this pivotal role, you will partner closely with the Regional CFO and the Regional Head of Business Development for to drive strategic financial initiatives. You will play a key role in assessing the performance of existing businesses and evaluating new growth opportunities, including acquisitions, mergers, joint ventures, and market expansion prospects.
The Role
In this role, you will be responsible for analysing market trends and evaluating both existing businesses and new opportunities to drive growth. You will develop detailed financial models and conduct valuations, risk assessments, and returns analyses to support investment decisions, while also organizing and managing due diligence activities-either internally or in collaboration with consultants. Working closely with cross-functional teams across MESA, you will prepare business proposals for senior management, monitor portfolio performance to identify synergies and value-creation opportunities, and contribute to the execution of business development plans and investment projects.
Your Profile
The ideal candidate holds a degree in any discipline, preferably in Business, Finance or Accounting, and brings 5 years of proven corporate finance experience, with a strong track record in building financial models-ideally for large-scale investments or infrastructure projects in the logistics sector. A motivated self-starter with strong business acumen and an international mindset, who thrives on challenges and demonstrates a proactive, results-oriented approach. The role requires a high-energy, confident, and mature individual with excellent communication, presentation, and interpersonal skills, and the ability to work effectively as part of a collaborative team.
Apply Today
Please send your resume, in WORD format only and quote reference number SN , by clicking the apply button. Please note that only short-listed candidates will be contacted.
Robert Half International Pte Ltd | Co. Registration: E | EA Licence No: 07C5595 | Suriani Norahim | EA Registration No: R
By clicking 'apply', you give your express consent that Robert Half may use your personal information to process your job application and to contact you from time to time for future employment opportunities. For further information on how Robert Half processes your personal information and how to access and correct your information, please read the Robert Half privacy notice: Please do not submit any sensitive personal data to us in your resume (such as government ID numbers, ethnicity, gender, religion, marital status or trade union membership) as we do not collect your sensitive personal data at this time.
Accountant, Corporate Finance
Posted today
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Are you passionate about enhancing workers' employment and employability? Can you connect workers with employers through job-matching, career guidance, and skills upgrading? Ready to collaborate on recruitment, training, and job redesign to support nationwide skills development?
If your answers are "yes", we want you to join us and make a significant impact on the employment and employability landscape today
We are seeking a highly effective Accountant to join our Corporate Finance Team in our department dedicated to employment and employability
In this role, you will support NTUC's sub-department. Reporting to the Deputy Director, you will support the smooth running of finance day-to-day operations as well as month-end and financial year-end closing activities.
Responsibilities
- Manage full sets of accounts (Accounts Receivables, Accounts Payables and General Ledger), including the review of invoices, payments, receipts, and journals.
- Manage the day-to-day operations of fixed assets, including asset capitalisation, disposal, and conducting the annual asset verification exercise.
- Independently manage statutory and internal audits, ensuring timely completion and adherence to audit requirements.
- Prepare and monitor annual budgets and financial projections, including drafting budgetary papers and performing variance analysis to support informed decision-making.
- Plan and coordinate the organisation's insurance coverage, liaising with business units to gather inputs and working closely with insurance brokers to ensure adequate protection of assets and operations.
- Draft and review financial policies and procedures as needed to ensure compliance, clarity, and operational efficiency.
- Act as the Business Continuity Plan (BCP) coordinator for Corporate Finance team by maintaining, reviewing, and updating the BCP strategy and plans.
- Liaise effectively with internal and external stakeholders, providing financial and operational advice where necessary.
- Support system enhancements, IT-related projects, and process improvement initiatives to drive operational efficiency and strengthen internal controls.
- Provide guidance to team members.
Requirements
- Degree in Accountancy or equivalent accounting qualification.
- Minimum 5 years of relevant experience, with supervisory skills, preferably within a public sector environment.
- Knowledge and hands on experience in SAP S/4 accounting system is preferred.
- Strong knowledge of accounting and financial reporting standards.
- Comfortable navigating structured governance and administrative processes, with a pragmatic approach to compliance and a clear focus on delivering outcomes.
- Positive and resourceful individual with strong active listening skills to gather information and anticipate next steps.
- Strong analytical and problem-solving skills and possess strong attention to details and financial acumen.
- Excellent analytical, communication, interpersonal, and stakeholder engagement skills.
- Strong time management skills with the ability to multi-task, prioritise, and deliver accurate work under tight deadlines in a dynamic environment.
- Good written communication skills, with attention to detail and clarity.
- Demonstrated commitment to integrity, ethics, and professionalism in all aspects of work.
- Proficient in Microsoft Word, Excel & PowerPoint.
Working Location: Jurong East, Devan Nair Institute
Designation and salary will be commensurate with experience.
We will only contact shortlisted candidates.
Paralegal (Corporate & Finance)
Posted today
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Job Description
- Permanent position, Salary up to $7,000 with bonus
- Supporting Corporate & Finance portfolio
Key Responsibilities:
- Assist with the preparation, review, and organisation of legal documents, including agreements, contracts, and transaction checklists.
- Support the execution and closing of corporate, banking, and finance transactions.
- Manage document signing and post-closing procedures, including filings and registrations with relevant authorities.
- Conduct legal and regulatory research as required.
- Coordinate with internal teams, clients, and external counsel to progress matters efficiently.
- Maintain and update precedents, matter files, and internal databases.
- Provide general administrative and paralegal support to the Corporate & Finance team.
Requirements:
- Degree in Law or a Paralegal/Legal Studies diploma (or equivalent qualification).
- Prior paralegal experience in a law firm or financial institution (corporate, banking, or finance practice preferred).
- Strong organisational skills with the ability to handle multiple matters under tight deadlines.
- Excellent communication skills (written and verbal).
- Detail-oriented, proactive, and a strong team player.
- Familiarity with corporate filings and finance documentation will be an advantage.
Interested candidates can forward their CVs in MS Word format to -
Reg No. R
Triton AI Pte Ltd
License no. 21C0661
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Manager, Corporate Finance
Posted today
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Singapore
DRIVING CONNECTIVITY
Chart your Course with PIL
With over 55 years of leadership in the global shipping industry, Pacific International Lines (PIL) is looking for proactive individuals to drive innovation and sustainable shipping solutions. If you're fueled by pioneering ideas, enjoy challenging the status quo, and are determined to make a significant impact, PIL wants you as a part of our dynamic community of maritime professionals.
At PIL, we provide local experiences with a global reach. With our headquarters in Singapore, and services offered at over 500 locations in 90 countries, you will have ample opportunities to work with colleagues from different cultures and communities.
Get On Board for a Dynamic and Purposeful Career.
We are seeking an experienced Manager to join our Corporate Finance team. You will be responsible to work on Financial Modelling and to maintain and update financial projections, run simulations and financial analysis on key strategic decisions and support preparation of Board Papers.
You will also be responsible to support financial and valuation analysis on potential acqusitions and dispoals by the Group.
Key Responsibilities:
- Maintain and simulate Group's financial projects, including updating and assessing the underlying assumptions
- Collaborate with various business and finance divisions for inputs required for the maintenance and update of the projections
- Support Group on capital decisions by running financial analysis
- Perform and lead financial and valuation analysis on potential analysis and/dispoals by the Group
- Participate in strategic discussion or intiatives, including but not limited to simulation of financial impact and analysis of various scenarios, facilitating business decision making
Must Have:
- Bachelor Degree in Accounting, Finance, Quantitative Finance or any related qualifications or discipline
- CFA will be an added advantage
- Minimum 5 years of experience in Financial Modelling, valuations, financial due diligence or corporate finance
- Good communication skills and stakeholder management
We value:
- Excellent problem-solving skills, time management and organisational skills
- Ability to prioritize and manage multiple responsibilities
- Having a business partnering mindset
Why Join Us:
- Be part of a leading global carrier with a strong focus on sustainability and innovation.
- Work in a dynamic and collaborative environment.
- Opportunities for professional growth and development.
Application Process:
To apply for this exciting opportunity, please submit your resume outlining your qualifications and experience
Foreign candidates will be subject to the validity of approved work passes to work in Singapore.
About Us
Incorporated in 1967, Pacific International Lines (PIL) is ranked 12th among the world's top container shipping lines and is also the largest home-grown carrier in Southeast Asia. Based in Singapore, PIL is a global carrier with a focus on Asia, China, Africa, the Middle East, Latin America, Oceania, and the Pacific Islands.
Together with its affiliated companies Mariana Express Lines (MELL) and Malaysia Shipping Corporation, PIL serves customers at over 500 locations in more than 90 countries worldwide with a fleet of 100 container and multi-purpose vessels.
Apart from the core liner shipping business, PIL also has several other business units such as container manufacturing, depot, and logistics services.
PIL strives to meet the needs of its customers by providing value-adding services such as intermodal, breakbulk, and reefer services delivered on innovative technological platforms. With its focus on "Driving Connectivity" and commitment to achieving Net Zero by 2050, PIL aims to be an efficient, sustainable, and future-ready shipping line.
Pacific International Lines (PIL) is an equal opportunity employer. We celebrate diversity and are committed to creating an inclusive environment for all employees.
Corporate Finance Manager
Posted today
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Job Description
We are looking for a highly motivated and experienced Corporate Finance Manager to lead the Group's financing and capital management initiatives. This is a strategic role that supports the company's growth plans, business expansion, and investment activities through effective capital raising, financial structuring, and corporate development.
Key Responsibilities
As Corporate Finance Manager, you will:
- Lead financing activities including debt, equity, and structured financing to ensure the Group has sufficient capital for its business and strategic projects.
- Build and maintain strong relationships with banks, financial institutions, investors, and rating agencies, while negotiating competitive financing terms and structures.
- Drive corporate development initiatives such as mergers, acquisitions, disposals, and joint ventures, including financial modelling, due diligence, valuation, and investment appraisals.
- Monitor and optimise the Group's capital structure, cash flow, and liquidity, ensuring efficient use of funds and effective risk management.
- Provide financial insights and recommendations to senior management on capital allocation, fundraising strategies, and investment opportunities.
- Prepare financing proposals, investor presentations, and board papers to support strategic decision-making and communication with key stakeholders.
- Stay updated on market developments, capital market trends, and regulatory changes to advise on financing strategies and opportunities.
Requirements
- Bachelor's degree in Finance, Accounting, Economics, or a related discipline.
- Professional qualifications such as CFA, CPA, ACCA, or CA are highly desirable.
- At least 5 years of relevant experience in corporate finance, capital markets, investment banking, or treasury.
- Proven track record in executing fundraising, debt/equity financing, or M&A transactions.
- Strong skills in financial modelling, valuation, and investment analysis.
- Excellent negotiation, communication, and stakeholder management abilities, with experience engaging senior management, investors, and external advisors.
- Proactive, detail-oriented, and able to thrive in a fast-paced, dynamic environment.
Accountant, Corporate Finance
Posted today
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About the Role:
We are looking for a motivated and detail-oriented Accountant to join our finance team. The ideal candidate will be a qualified accounting professional with 1 to 3 years of post-qualification experience, preferably trained at a Big 4 firm. You will play a key role in maintaining accurate financial records, ensuring compliance with local accounting standards, and supporting month-end close and audit processes.
Key Responsibilities:
- Prepare and review monthly, quarterly, and annual financial statements in accordance with Singapore Financial Reporting Standards (SFRS).
- Assist with month-end close activities, including journal entries, account reconciliations, and variance analysis.
- Support statutory audits by liaising with external auditors and preparing audit schedules.
- Ensure compliance with Singapore tax regulations, including GST filings and submissions to relevant authorities.
- Maintain accurate and up-to-date general ledger accounts.
- Assist in budgeting, forecasting, and financial analysis as needed.
- Identify opportunities to improve accounting processes and internal controls.
- Collaborate with cross-functional teams to provide timely financial information and insights.
Degree in Accounting, Finance, or related discipline.
Qualified accountant (e.g., CPA Singapore, ACCA, CA) with 1 to 3 years' experience.
- Experience working in a Big 4 accounting firm or equivalent is highly preferred.
- Strong knowledge of Singapore Financial Reporting Standards (SFRS) and tax regulations.
- Proficient in MS Excel; experience with ERP systems (e.g., SAP, Oracle) is a plus.
- Excellent analytical and problem-solving skills with high attention to detail.
- Good communication skills with ability to work effectively in a team environment.
- Proactive, organized, and able to manage multiple priorities under tight deadlines.