1,208 Senior Financial Controller jobs in Singapore
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Financial Controller
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This role is perfect for a detail-oriented professional who is passionate about accounting and finance.
- About the Role:
We are seeking a highly skilled Junior Accountant to join our dynamic finance team. As a Junior Accountant, you will play a key role in ensuring the accuracy and efficiency of our financial processes. Your primary responsibilities will include:
Financial Controller
Posted today
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Job Description
As a skilled financial controller, you will be responsible for overseeing the financial performance of our organization. Your role will involve managing financial reporting and ensuring regulatory compliance.
Key Responsibilities:
- Support financial planning and budgeting to ensure effective management of resources
- Prepare and review financial statements and reports to ensure accuracy and completeness
- Monitor cash flow and implement measures to optimize liquidity
- Implement and maintain accounting controls and procedures to ensure transparency and integrity
- Oversee grant management and asset tracking
- Ensure tax compliance and prepare relevant returns
Requirements:
- Degree in accounting or finance is preferred
- Minimum 3-5 years of experience in a similar role would be advantageous
- Experience in staff management would be beneficial
Fast-track your career as a Financial Controller with our organization. If you have the necessary skills and qualifications, we encourage you to apply.
What We Offer:
- A competitive salary package
- Opportunities for professional growth and development
- A dynamic and supportive work environment
How to Apply:
Send your resume and cover letter to us via email.
Financial Controller
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Financial Controller (Renewable Energy/Investment Holding)
We are looking for a hands-on and commercially minded Financial Controller to join a growing renewable energy firm with operations across Asia. This role is ideal for someone with prior experience in renewable energy or investment holding structures, who thrives in fast-paced environments and is ready to build and lead core finance capabilities across the region.
Candidates with Chartered Accountant qualifications, a maximum of 1 month notice period, and prior experience in renewables or investment holding companies will be considered. Immediate availability is preferred.
Key Responsibilities:
- Oversee the full spectrum of finance operations across regional offices in South East Asia
- Lead and develop local finance teams, ensuring timely and accurate reporting, compliance, and internal controls
- Set up and manage finance-related systems and processes, including cash flow planning, payment cycles, and monthly reporting
- Act as the primary finance point of contact for M&A transactions, including reviewing due diligence reports and working with consultants on deal execution
- Manage external advisors on tax structuring, SPA negotiations, and account finalisation for transaction closings
- Support strategic initiatives, investor reporting, and board-level financial oversight
- Drive process improvements and automation across finance functions to scale with business growth
Key Requirements:
- Chartered Accountant (CA, CPA, or equivalent)
- Minimum 8 years of experience, preferably in a renewable energy company, investment fund, or infrastructure platform
- Proven track record in regional finance leadership, including experience working with cross-border teams
- Strong knowledge of financial operations, reporting, tax structuring, and M&A support
- Comfortable working in a high-growth, entrepreneurial environment
- Demonstrates agility, ambition, and flexibility to adapt to a start up culture
- Excellent communication and stakeholder management skills
Management Skills
Leadership
Due Diligence
Interpersonal Skills
Spa
CPA
Internal Controls
Closings
Tax Structuring
Accounting
Compliance
Financial Statements
Renewable Energy
Cash Flow
Stakeholder Management
Financial Reporting
Financial Controller
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COMO Metropolitan Singapore is located in the heart of Singapore on Bideford Road. It is part of COMO Orchard, COMO Group's newest immersive experience building which is the most complete iteration yet of the vision that brings together COMO Group's hospitality, fashion, wellness and cuisine into one inspiring location. COMO Metropolitan Singapore's 156 rooms and suites are spread over 11 floors with a rooftop pool bar that is exclusively for hotel guests. COMO guests also enjoy preferred access to some of the hottest tables in town including the first patisserie in Asia from renowned pastry chef Cedric Grolet, the Michelin-starred Korean steakhouse COTE and COMO Cuisine. The building also features a multi-label fashion retail space curated by Club 21 and a new flagship urban wellness space by COMO Shambhala. The result is an inspiring gathering place for innovators and creatives with a passion for the COMO-curated life.
Job summary
Manage all accounting operations including billing, accounts receivable, accounts payable, general ledger and counsel, cost accounting, inventory accounting and revenue recognition. Coordinate and direct preparation of the budget and financial forecasts and report variances.
Tasks/Responsibilities:
- Assists and provides financial guidance in the formulation and implementation of the Strategic Plan, Budget and Goals Program
- Maximizes cash flow performance of the hotel through controls on inventory, credit and collection, disbursements and remittances. Maintain accurate cash flow forecasts for at least one year ahead, and ensure adequate notice is given to Owners/senior leadership team, of any future cash requirements.
- Enforces documents and establishes adequate controls for all revenues and expenses and protection of assets and ensures controls will satisfy or improve the level of guest service.
- Maximises cost effectiveness, profitability of the hotel by managing the Finances through planning and controlling of revenue, costs, payroll and expenses.
- Maintains accurate and timely financial reports and operating information and provides analysis interpretations and projections to management as required.
- Provides administrative support to Management with reference to policy enforcement, business advice and operational assistance.
- Identifies financial training needs, develops formal training plans and conducts training sessions for accounting and operational staff in coordination with other departments.
- Obtains appropriate legal counsel regarding the business practices of the hotel and maintains an awareness of local laws, rules and regulations.
- Provides safekeeping, including proper storage and access for all contracts, leases and other financial records.
- Follows up on all capital expenditures to ensure compliance with original justification and approval.
- Participates in local recognized professional and industry organizations
- Conducts monthly audits to ensure all departments are complying with required procedures.
- Implements and maintain acceptable accounting practises and procedures as required by COMO Hotels and Resorts policy and procedures, generally accepted accounting practises, and as affected by local conditions.
- Spearhead the property annual budget and ongoing Profit and Loss review process. Investigation of reasons for significant variances from budget as directed by the General Manager/ Owners' Representatives.
- Maintenance of all ledgers, journals, and other accounting records, based on COMO Hotels and Resorts requirements.
- Ensure that the balance sheet is an actual reflection of the assets and liabilities of the hotel. The balance sheet must be regularly reviewed and reconciled for all accounts.
- Responsible for creating internal control and audits for the different departments.
- Responsible for achieving annual finance audit targets.
- Maintain business licenses, leases, vendor contracts, agreements and assist with all required business compliance matters.
- Oversees all account payable processes to ensure timely and accurate completion.
- Ensure legal and tax compliance and that adequate insurance coverage is maintained, including but not limited to general liability and workers compensation insurance.
- Oversee the procurement procedures for the Hotel, following corporate and budgetary guidelines, ensuring proper par and inventory controls, purchase order and invoicing processes are in place.
- Benchmark costs against other hotels. Identify cost reduction opportunities to mitigate financial risks of the business.
- Responsible for training, hiring, disciplinary procedures and performance management of the team. Providing regular coaching and mentoring to team to achieve highest level of employee satisfaction and engagement.
Key Requirement
- 10+ years experience in finance leadership within a hospitality company;
- Professional degree in Accounting, Finance or related discipline required.
- Strong people leadership – influential, demonstrates flexibility in approach, and motivates others to achieve desired results;
- Demonstrated success in evaluating risks and developing strategies and plans to mitigate business issues.
- Results oriented; delivers results under difficult conditions and demonstrates balanced judgment under pressure.
- Good finance, accounting and analytical skills, including experience with cash management, forecasting, revenue management strategies, capital expenditure planning and budgeting, and project management.
- Knowledge in generally accepted finance and accounting policies, principles and controls.
- Strong qualitative and quantitative analytical skills; ability to take large volumes of complex information and present it in a clear and concise manner to senior management, owners and franchisees; uses data and a cogent problem-solving methodology in decision making and impact assessment.
Forecasting
Cost Accounting
Accounts Payable
Payroll
Accounts Receivable
General Ledger
Accounting
Tax Compliance
Audits
Cash Management
Budgeting
Capital
Decision Making
Cash Flow
Audit
Revenue Recognition
Financial Controller
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Job Description
We are seeking a seasoned accounting expert to oversee the financial close process, manage cash flow and prepare detailed financial forecasts.
- Prepare General Ledger journals in a timely manner and manage the monthly financial close process with accuracy.
- Cash management planning includes reviewing cashflow forecasts and ensuring sufficient cash balances for operational needs.
- Inter-company and bank reconciliations are also part of the responsibilities.
- Preparing audit schedules or balance sheet reconciliation to ensure items are clear on a timely basis.
- Developing and maintaining accurate financial forecasts.
- Overseeing GST submission and reconciliation.
- Assisting with internal and external audit processes as required.
- Degree/Diploma in Accountancy or equivalent professional qualification is required.
- A minimum of 3 years of experience working in a construction environment is preferred.
- Experience with Sage 300 (Accpac) would be an advantage.
Financial Controller
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The role of a Finance Leader is to lead the full spectrum of Finance for a business unit, encompassing financial reporting, budgeting, forecasting, project management, property management, tax planning, and treasury matters.
The ideal candidate will possess a strong background in accountancy or a related field, with at least 5 years of relevant experience, including 3 years in a leadership role. They should have a keen eye for detail, excellent analytical skills, and effective communication and negotiation skills.
Key responsibilities include:
- • Preparation of monthly management accounts and annual financial statements
• Monitoring and analysis of monthly reporting results against Budget / Forecast / Prior Year
• Planning and management of Budget and Forecasting
• Preparation of quarterly GST submissions and annual corporate income tax filings
• Conducting annual/periodic stock take and assets verifications
• Business partnering with Heads of Departments to improve business performance and optimize costs
• Liaising with internal and external auditors, tax agents, and corporate secretary to ensure timely completion of audits, tax filing, accounts, and corporate matters
• Identifying process improvements and enhancements in internal controls and data automation
Additionally, the successful candidate will possess the following skills and qualifications:
- • Degree or professional qualification in Accountancy or CPA
• Strong IFRS acumen and understanding of financial & tax reporting
• Good analytical skills with a keen eye for details and desire to probe further into data
• Effective communication skills – both written and verbal
• Negotiation skills and the ability to develop strong working relationships
• Ability to multitask work and adhere to datelines
Why Choose This Role?
As a Finance Leader, you will have the opportunity to work on a wide range of finance-related tasks, from financial reporting to budgeting and forecasting. You will also have the chance to develop your skills and knowledge in areas such as IFRS, financial analysis, and negotiation.
Financial Controller
Posted today
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As a key member of our finance team, you will play a pivotal role in formulating and implementing internal control procedures. Your responsibilities will include reviewing and recommending new finance work processes and improvements, as well as daily monitoring of inward transactions.
You will also work closely with external counterparts to ensure the timely completion of monthly closing. In addition, you will be responsible for ensuring accurate and timely submissions of claims and prompt disbursements.
Your expertise will also be required for processing GIRO Application Forms and liaising with respective banks for approval. Furthermore, you will provide reliable details for cashflow projections and maintain Fixed Assets Registers along with regular asset counts.
Additionally, you will liaison with HR for Payroll Reconciliation and ensure proper documentation of workflow and policies. You will also review AP ageing with long outstanding balances and follow up closely for closure.
In this role, you will have the opportunity to perform ad-hoc duties as assigned by your superior. If you are a goal-oriented and meticulous individual who thrives in fast-paced environments, then this may be the ideal opportunity for you.
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Financial Controller
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Key Responsibilities
- Oversee the preparation of monthly financial statements, daily management reports.
- Ensure timely and accurate compliance with statutory, tax, and audit requirements.
- Prepare Consolidate group-level financials.
- Oversee preparation of XBRL filings for ACRA and ensure accuracy and completeness.
- Coordinate and manage the annual audit process, including preparation of audit schedules, liaising with external auditors, and addressing audit queries.
- Monitor daily cash flow and liquidity positions and ensure timely of payment.
- Ensure timely and accurate filing of corporate income tax and GST returns.
- Guide and oversee the daily work of finance teams, improve team capabilities and efficiency and mentor high-potential finance professionals.
- Other ad-hoc assignments.
Requirements
- Degree in Accountancy, Finance, or equivalent professional qualification (e.g. CPA, CA).
- Minimum 5 years of relevant experience, preferably in a group finance or audit background.
- Strong knowledge of accounting standards, tax regulations, and corporate compliance.
- Proficient in financial systems and tools (e.g. Microsoft365 and software).
- Excellent analytical, problem-solving, and communication skills.
- Ability to manage multiple priorities and meet tight deadlines.
Forecasting
Tax
Financials
CPA
Internal Controls
Accounting
Compliance
Financial Statements
Income Tax
XBRL
Communication Skills
Budgeting
Accounting Standards
Cash Flow
Audit
Financial Reporting
Financial Controller
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Great Career Prospect
5 Days Work (Mon - Fri)
Construction – Electrical subcontractor company
Basic + AWS + Bonus
5 days office hours
Job Description:
- Review and establish all formal finance SOP which may include other departments such as HR.
- Reviewing and advising management on risk and compliance matters
- Advise on long term business and financial planning
- Review monthly IFRS Reporting Package prepared by FM
- Prepare and submit monthly AVB report
- Managing the processes for financial forecasting and budgets, and overseeing the preparation of all financial reporting to management
- Providing strategic recommendations to the CEO/management and other HOD members
- Liaise with overseas consultant on all corporate and finance matters
- Explore for new grants/sponsorship which benefit the whole group
- Liaise with Bankers for all banking facilities, funds arrangement and FX related matters.
- Liaise with Bankers for LC related matters.
- Liaise with oversea consultant for the overseas bank matters
- Liaise with legal counsel for all clauses in the contracts to protect and mitigate the Company risks (New projects)
- Liaise with legal counsel for any legal matters
- Corporate Governance
- Liaise with Company Secretary for Corporate matters such as changing of principal activities of the Group
- Assist in projects such as signing off progress claim for all projects before submitting to contractors and advise on the costing sheet in terms of presentation and any other financial issues
- Ensure no liquidity issues within the Group in terms of cashflow
- Monitor the weekly AR collections and highlight any potential recoverability issue to the management
- Liaise with local and overseas external auditors and tax agent with relates to all tax and audit matters and ensure compliance with the regulatory bodies
HOW TO APPLY:
Interested applicants, kindly send your resume in MS WORD format or please click on "Apply Now" or or email
We regret only shortlisted candidates will be notified.
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Financial Controller
Posted today
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Job Description
We are seeking a detail-oriented professional to manage our accounts payable and receivable, prepare financial statements, and ensure accurate GST filing and AIS submissions.
The ideal candidate will have a strong background in accounting, be proficient in Microsoft Office applications, including Excel, and possess excellent communication skills in English and Chinese.
Responsibilities will include managing day-to-day accounting tasks, preparing budget reports, and maintaining accurate records.
Key qualifications for this role include a diploma in Accounting or equivalent, LCCI accounting certification or equivalent, and proficiency in Microsoft Office (Word & Excel).
Able to work independently, the ideal candidate will be meticulous, responsible, and able to meet deadlines.
Requirements:- Diploma in Accounting or equivalent
- LCCI accounting certification or equivalent
- Proficient in Microsoft Office (Word & Excel)
- Familiar with GST filing, AIS submissions, and other statutory requirements
- Experience with Xero Accounting software
- Good command of English and Chinese (spoken and written)