188 Financial Communication jobs in Singapore
Financial Analysis Specialist
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Job Description
This is an exciting opportunity for a highly motivated and detail-oriented individual to join our team as a Finance Trainee. As a key member of the finance department, you will play a vital role in assisting with financial analysis, preparing financial documents, and creating financial models.
The ideal candidate will possess excellent analytical skills, be proficient in Microsoft Office Suite, especially Excel and PowerPoint, and have a basic knowledge of financial statements and investment principles.
Key Responsibilities:
- Assist with budget analysis and financial forecasting.
- Prepare financial reports and presentations to communicate findings to the team.
- Conduct research on investment managers and trends.
- Track and monitor existing and prospective investments.
Required Skills and Qualifications:
- Ability to interpret complex data and analyze trends.
- Proficiency in Microsoft Office Suite, especially Excel and PowerPoint.
- Brief knowledge of financial statements, investment principles, and financial planning.
Why This Role?
This is an excellent opportunity for individuals who are passionate about finance and want to develop their skills in a dynamic and supportive environment.
About Us
Financial Analysis Specialist - Accounting Role
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We are seeking a detail-oriented and proactive Accountant to join our finance team. This role will work alongside an Accounts Executive, complementing their day-to-day transactional scope with more technical and analytical accounting practices.
The Accountant will be expected to act as a finance business partner — helping the company connect financial data with strategy, support decision-making, and provide insights that guide planning and resource allocation.
This role goes beyond the traditional view of accounting. We value fresh perspectives and welcome applications from individuals who demonstrate strong analytical thinking and eagerness to learn, as well as experienced candidates who bring proven expertise.
- Manage and maintain the company's general ledger and chart of accounts.
- Prepare, review, and present monthly, quarterly, and annual financial statements.
- Work alongside the Accounts Executive to ensure accurate day-to-day accounting operations (payables, receivables, reconciliations).
- Analyse company accounts to identify trends, variances, and areas for improvement.
- Benchmark company performance against industry averages and best practices.
- Contribute to planning and analysis activities, including budgeting, forecasting, scenario modelling, and KPI tracking.
- Prepare financial models, reports, and proposals to support management's strategic decision-making.
- Participate in discussions on business positioning, growth strategies, and ESG considerations.
- Provide insights on financial sustainability and resource allocation in relation to changing market and regulatory expectations.
- Collaborate with other departments on small and medium-sized projects, building cross-functional collaboration skills and contributing financial expertise.
- Support internal and external audits by preparing schedules and documentation.
- Recommend process improvements and strengthen governance and internal controls to ensure both compliance and efficiency.
Financial Analysis Specialist - Fully Remote
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Overview
Financial Analysis Specialist - Fully Remote
Join to apply for the Financial Analysis Specialist - Fully Remote role at Mercor
This range is provided by Mercor. Your actual pay will be based on your skills and experience — talk with your recruiter to learn more.
Base pay range
$45.00/hr - $00.00/hr
About The Job
Mercor connects elite creative and technical talent with leading AI research labs. Headquartered in San Francisco, our investors include Benchmark, General Catalyst, Peter Thiel, Adam D'Angelo, Larry Summers, and Jack Dorsey.
Position:
AI Financial Analysis Data Specialist
Type:
Full-time
Compensation:
45–$1 0/hour
Location:
Remote or in-person (Palo Alto, CA)
Commitment:
9:00am–5:30pm PST for the first two weeks; then 9:00am–5:30pm in your local timezone
Role Responsibilities
Use proprietary software to label, annotate, and evaluate AI-generated outputs across financial analysis topics.
Deliver high-quality curated data for projects involving equity valuation, fixed income, derivatives, macroeconomics, forex, cryptocurrency, and options strategies.
Collaborate with technical teams to design, test, and refine annotation tools for improved workflow efficiency.
Support the development and training of new AI tasks by providing expert reasoning and analysis.
Select and address complex financial problems aligned with your expertise to improve AI model accuracy.
Interpret, analyze, and execute evolving instructions with consistency and adaptability.
Qualifications
Must-Have
Professional experience in financial analysis or related fields such as equity analysis, FICC, derivatives, macro strategy, forex, or crypto trading.
Strong proficiency in written and verbal English.
Excellent analytical, organizational, and communication skills.
Ability to exercise independent judgment when interpreting complex data.
Deep interest in technological innovation and the application of AI in finance.
Preferred
CFA, FRM, Series 7, or other relevant financial certifications.
Experience mentoring or training others in financial analysis or trading.
Familiarity with AI model training or data annotation processes.
Comfort participating in text, audio, or video-based data collection tasks.
Compensation & Legal
Hourly contractor
International pay rates available upon request
Benefits vary by country; may include medical coverage
Application Process
Submit your resume to get started.
Complete a short interview and evaluative exercise.
Successful candidates will advance to a final discussion with the project team.
Resources & Support
For details about the interview process and platform information, please check:
For any help or support, reach out to:
PS: Our team reviews applications daily. Please complete your AI interview and application steps to be considered for this opportunity.
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Global Technology Finance - Financial Analysis Contractor (9 months)
Posted 2 days ago
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Join our dynamic Planning and Analysis team and play a key role in shaping the financial future of our organization. Make an impact by delivering insightful analysis and supporting senior management in strategic decisions.
As a Financial Planning and Analysis (FP&A) Associate within the FP&A team, you will coordinate budgeting and forecasting processes, project earnings and capital, and collaborate with firmwide teams. Your work will directly support senior management and influence key business decisions through impactful reporting and analysis.
Job Responsibilities
• Coordinate budgeting and forecasting processes, including short- and long-term projections.
• Serve as a liaison between Firm-wide P&A, lines of business, Functional Finance, and support teams.
• Prepare management reports and presentations for senior leadership.
• Develop, consolidate, and present qualitative and quantitative financial analysis.
• Create, maintain, and review financial models and analyses.
• Conduct deep-dive analyses to identify root causes and propose solutions.
• Collaborate with business partners to ensure timely and accurate delivery of initiatives. Build and maintain strong relationships with key business stakeholders.
• Produce presentations and supporting materials for key internal clients. Support ad-hoc special projects and requests as needed.
• Ensure effective delivery of recurring and ad-hoc reporting initiatives.
Required Qualifications, Capabilities, and Skills
• Bachelor’s degree in Finance, Economics, or Accounting
• Atleast 1 year experience in finance/ planning and analysis/business management within a bank or financial services firm
• Strong quantitative, analytical, and problem-solving skills.
• Excellent organizational, management, verbal, and written communication skills.
• Proficiency in Excel, PowerPoint, Essbase, Visual Basic, and macros.
• Ability to synthesize multiple data sets into cohesive presentations and recommendations.
• Detail-oriented with the ability to manage multiple projects under pressure.
• Team-oriented, inquisitive, and critical thinker.
• Ability to build strong partnerships and work collaboratively.
• Self-starter able to thrive in a fast-paced, results-driven environment. Desire to learn quickly, be flexible, and think strategically.
Preferred Qualifications, Capabilities, and Skills
• CFA, CPA, or MBA.
• Experience with financial modeling and analysis
• Advanced skills in data visualization and reporting tools.
• Experience supporting senior management or executive teams.
• Strong relationship-building skills across business functions.
• Experience managing ad-hoc projects and initiatives.
This role is intended to be for an initial term of approximately 9 months only, however, subject to business needs, the contract may be extended or converted to permanent employment
To apply for this position, please use the following URL:
Analyst/Senior Analyst, Financial Reporting & Analysis Finance Singapore Experienced (Individua[...]
Posted today
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Finance
Experienced (Individual Contributor)
Sea Corporate
About Team
Sea Limited (NYSE: SE) is a leading global consumer internet company founded in Singapore in 2009. Our mission is to better the lives of consumers and small businesses with technology.
We operate three core businesses across digital entertainment, e-commerce, as well as digital payments and financial services, known as Garena, Shopee, and Monee, respectively. Garena is a leading global online games developer and publisher. Shopee is the largest pan-regional e-commerce platform in Southeast Asia and Taiwan. Monee is a leading digital payments and financial services provider in Southeast Asia.
Job Description
Assist in monthly consolidation of accounts with Hyperion for group and regional subsidiaries under US GAAP
Participate in the preparation quarterly and annual group reports and financial statements comply with US GAAP and US SEC requirements
Liaise and collaborate closely with the auditors, legal counsels, group M&A, business and regional finance team
Assist in providing accounting support to the group and regional finance team
Assist in the ongoing development of the group accounting policies, including the implementation of process and system changes
Prepare and review technical accounting memorandum and documentation
Participate in establishing, implementing and improving SOX controls and business processes
Undertake ad-hoc special projects, including but not limited to internal group restructuring, M&A, adoption of new accounting standards
Continued focus in improving business and finance processes
Requirements
Minimum 3 years of relevant working experience preparing consolidation or in Big 4 external audit are desired
Degree in Accountancy or recognizable accounting qualification (ACCA, CPA and etc.)
Familiar with US GAAPor part of the accounting firm’s technical department is an advantage
Strong accounting and reporting knowledge
Dynamic and bright personality with a positive attitude. A team player with good organization skills and an eye for accuracy and detail
Willing to work in a dynamic and fast-paced environment
System-savvy, proficient in Microsoft Excel
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Corporate Financial Planning Analysis
Posted today
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Job Description
Singapore, Central, Singapore (SGP,Hill Street_06)
Department
Group Financial Planning & Analysis
Job posted on
Sep 04, 2025
Employment type
Permanent
About Sembcorp
Sembcorp is a leading energy and urban solutions provider headquartered in Singapore. Led by its purpose to drive energy transition, Sembcorp delivers sustainable energy solutions and urban developments by leveraging its sector expertise and global track record.
Purpose & Scope
Reporting to the AVP, Corporate FPA, this role will be responsible for supporting Corporate FPA Function for forecasting, budgeting and management reporting of corporate entities and corporate functions. This role will also act as the Finance Business Partner for corporate functions, ensuring robust tracking, forecasting, reporting and communication of department spend and recoveries.
Key Roles and Responsibilities
- Consolidation of Corporate entities P&L for monthly forecasts and yearly budgeting
- Responsible for all financial functions, including:
- review and perform analysis of monthly closing and forecast
- lead budgetary control
- capital expenditure and cash management
- transfer pricing management
- Identify key drivers for business and develop mechanism for effective tracking, reporting as well as analytical evaluation to continuously improve business efficiency.
- Review and implement financial and risk management policies and procedures to ensure effective internal control, proper accounting practices and financial reporting, and to comply with Group policies and procedures.
- Custodian of Financial Authority Limits for Corporate Functions and ensure timely update and compliance.
- Supports capital and treasury management for Corporate investment holding entities, plans and coordinates investment and divestment fund flows to minimize tax and forex exposures.
- Other ad hoc duties assigned to meet organizational requirements.
- To understand and align interests for various stakeholders across functions and geographies
- Provide insights and solutions and the financial implications on course of actions
Qualifications, Skills & Experience
- Tertiary education in accounting
- Preferably 10 to 15 years of working experience in accounting/finance related field with at least 3 years of Finance Business Partnering related work experience
- Good knowledge of IFRS
- Good interpersonal skills, demonstrated ability to interface with various management levels across functions
- Possess Critical thinking, excellent problem diagnosis and analytical skills
- Proficiency in Microsoft office including Excel and PowerPoint
- Good knowledge in accounting related systems preferably SAP and Tagetik
- Ability to multi-task and work under pressure, both independently and in a team.
- Able to be self-motivated and driven, and encourage cohesive work team.
Our Culture at Sembcorp
At Sembcorp, our culture is shaped by a strong set of shared behaviours that guide the way we work and uphold our commitment to driving the energy transition.
We foster an institution-first mindset, where the success of Sembcorp takes precedence over individual interests. Collaboration is at the heart of what we do, as we work seamlessly across markets, businesses, and functions to achieve our goals together. Accountability is a core principle, ensuring that we take ownership of our commitments and deliver on them with integrity and excellence. These values define who we are and create a workplace where our people can thrive while making a meaningful impact on driving energy transition.
Join us in making a real impact
Analyst (FINANCIAL PLANNING & ANALYSIS)
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Join to apply for the
Analyst (FINANCIAL PLANNING & ANALYSIS)
role at
PSA International .
We are seeking a motivated analyst to support line managers in preparing management reports and analysis schedules. The candidate will be involved in data projects, documenting best practices, and continuous process improvement.
Key Responsibilities
Assist line managers in preparing management reports and analysis schedules for financial review.
Coordinate submission parties to ensure accuracy and timeliness.
Support data projects and document best practices.
Seek continuous process improvements.
Conduct research and data collation for benchmarking analysis.
Participate in ad-hoc projects as assigned.
Experience
Fresh graduates or those with experience in Financial Analysis or Group financial consolidation are preferred.
Self-motivated with excellent communication skills and the ability to work with diverse cultural backgrounds.
Ability to work under pressure and meet tight deadlines, independently and in teams.
Strong critical thinking, problem-solving, and analytical skills.
Proficiency in Microsoft Office (Excel, PowerPoint) and PowerBI.
Good knowledge of IFRS.
Additional Details
Seniority level: Entry level
Employment type: Full-time
Job function: Other
Industries: Transportation, Logistics, Supply Chain, Storage
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Financial Planning & Analysis Manager
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Support and summarize the monthly financial closing and forecasting processes for all entities.
Prepare monthly forecasts, including identifying and recommending corrective actions as needed.
Consolidate monthly forecasts and provide detailed variance analysis, investigating significant discrepancies and resolving underlying issues.
Develop and deliver regular management reports and executive presentations.
Manage the compilation and submission of all closing and forecasting reports to Headquarters.
Prepare the annual budget and mid-term business plan; monitor and analyse variances between actuals, forecasts, and budget targets.
Coordinate and lead cross-functional meetings aimed at improving the efficiency of management accounting processes.
Develop in-depth knowledge of the ERP system; support and propose system enhancements to optimize reporting capabilities.
Assist in designing and maintaining interdepartmental workflows to foster effective collaboration.
Strengthen cost management practices to drive profitability improvements.
Lead the team in developing initiatives to enhance operational efficiency and mitigate business risks.
Undertake additional tasks and any other ad-hoc tasks as assigned.
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Financial Planning & Analysis Manager
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Senior Financial Planning & Analysis Manager page is loaded# Senior Financial Planning & Analysis Managerlocations:
Kallang Bahru, Singaporetime type:
Full timeposted on:
Posted Todayjob requisition id:
R- **It's fun to work in a company where people truly BELIEVE in what they're doing!**Job Description:The headcount is to support all aspects of the financial planning and analysis, including but not limited to weekly forecasts, monthly forecast, month end closing and year end closing, budget and strategic planning.
The position is reporting to CFO.**Responsibilities*** Financial analysis and reporting* Evaluates data and measures impact of risks and opportunities to make recommendations and articulates implications of choices to business partners. E.g. trend analysis, cost/benefit analysis* Information and system management* Understand how data is structured and can navigate various systems efficiently. Applies business knowledge to system solutions to support business decision.* Budget and Strategy planning* Manages processes that plan, track, measure and interpret operating performance. Guides/Assesses financial forecasts. Evaluates and identifies operating risks and opportunities. Communicates results that assist with resource allocation decisions.* Project management* Execute project while ensuring efficient utilization of resources. Communicates project status, issues, and resource need effectively* Prepares and analyses financial data such as but not limited to costing, pricing, sales, gross profit, market sector as well as product analysis.* Assist in the monitoring of operating result: sales, GP, OPEX, Operating Income and Working capital* Assist in Budget and month end closing by the management team on financial analysis.* Assist in the preparation of quarterly and yearly P&L account, balance sheet and Working capital* Work closely with CFO, Finance team and local management to prepare weekly flash forecast (including revenues, operating income and working capital )* Any other duties as assigned**Requirements*** Candidate must possess bachelor’s degree in accounting / finance with at least 5 years of experience in similar role and/or in a large domestic or MNC environment* Good knowledge in computer skills such as SAP system, Hyperion, Essbase, Smart View, OneStream* Advanced proficiency in using Microsoft Office software especially Excel and Access* Ability to multitask and meet constant deadlines* Candidates with less experience may be considered for the Financial Planning & Analysis Manager positionIt’s no surprise that technology powers the planet. But what might surprise you is that Ingram Micro has the ability to reach more than
90% of the global population. By joining us, you make Ingram Micro’s contribution a reality: helping businesses grow,
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Financial Planning & Analysis Manager
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Overview
Financial Planning & Analysis Manager - Remote
As the Financial Planning & Analysis Manager you will be the finance business partner to practice and service-line leaders across our global GRC consulting business. Your mission is to turn data into strategic insight that unlocks growth, pinpoints efficiency gains, and guides profitable decision-making. You will own the full planning cycle—forecasting, budgeting, scenario modelling, and performance analytics—while translating complex findings into crisp, actionable recommendations for executive and non-finance stakeholders.
Key Responsibilities
Strategic Growth Modelling : Build multi-year financial models that map pathways to revenue growth; sensitise assumptions (pricing, utilisation, headcount, geographic expansion, M&A) and quantify cash-flow impacts.
Budgeting & Forecasting : Lead annual budget process and rolling re-forecasts; maintain 13-week cash-flow views and quarterly re-forecasts aligned to OKRs.
Performance Analytics : Design dashboards (Power BI/Tableau) tracking billable utilisation, project margins, client acquisition cost (CAC), LTV, and operating leverage; flag variances and root causes.
Efficiency & Cost Optimisation : Run zero-based and activity-based costing reviews; identify margin uplift and opex saving opportunities (e.g., contractor mix, delivery centre utilisation, tech stack ROI).
Decision Support : Prepare investment cases for new service lines, geographic entry, and technology spend; present Board-ready papers articulating risk-adjusted returns.
Stakeholder Communication : Distil analytics into concise narratives, slides, and one-page memos that non-finance leaders can act on, coach teams on finance literacy.
Process & Systems Leadership : Drive continuous improvement in FP&A processes; administer Adaptive Insights / Anaplan (or equivalent) and champion data integrity across ERP, CRM, and PSA tools.
Experience & Skills
j. awan & partners seeks a dynamic leader with prior financial planning & analysis experience who is looking to take their career to the next level within a forward-thinking company with significant growth aspirations. A goal oriented, high achieving, motivational individual who is passionate about providing high quality financial data analysis in a multijurisdictional environment. At
j. awan & partners
we believe in providing an environment where you can fully express your unique talents, and we deliver unparalleled learning and development opportunities for those who share our vision.
Experience
8–12 years in FP&A, commercial finance, or strategic finance roles, with at least 4 years in professional-services or project-based environments (consulting, Big 4, IT services, or similar).
Demonstrated success guiding businesses through >50 % YoY growth, venture-backed scale-ups, or rapid geographic expansion.
Hands-on ownership of end-to-end budgeting, long-range planning, and executive-level board reporting.
Skills
Advanced Excel & financial modelling (3-statement, DCF, scenario, sensitivity)
Proficiency with FP&A platforms (Adaptive, Anaplan, Oracle PBCS), BI tools (Power BI, Tableau, Looker), and SQL or Python for ad-hoc analysis.
Familiarity with ERP/PSA systems used in consulting (NetSuite, SAP S/4HANA, Deltek, Kimble, etc.)
Outstanding analytical skills.
Distils complex analysis into narratives that drive action.
Able to link every recommendation to revenue, margin, and cash-flow impact.
Sees opportunity in ambiguity; designs scalable processes rather than patch-work fixes.
Buil ds trust across delivery, sales, HR, and tech teams; comfortable challenging senior partners with data-driven insight.
Leverages tech to eliminate manual tasks and elevate analysis time.
Questions assumptions, seeks root causes, and thrives in high-velocity environments.
Qualifications
Bachelor’s in Finance, Accounting, Economics or Engineering; MBA or Master’s in Finance preferred.
CPA, ACCA, CFA, or CIMA (completed or in progress).
Compensation & Benefits
Competitive salary and benefits package.
Discretionary performance-based bonus.
Comprehensive medical insurance cover.
End of Service benefits in line with operating jurisdiction requirements.
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