About the Role
We are partnering with a growing investment firm in Singapore to hire an FP&A Lead to build and develop the firm’s FP&A function from the ground up
This is a hands-on role for a commercially minded finance professional who can go beyond traditional reporting and act as a true business partner to senior management, investment teams, and the wider business. You will have the opportunity to shape FP&A processes, build financial models, and provide insights that support strategic and operational decision-making as the firm continues to scale.
Key Responsibilities
- Build and own the firm’s annual budgets, forecasts, and long-range financial plans
- Develop and maintain financial models covering revenue, costs, headcount, allocations, and business performance
- Lead monthly and quarterly financial reporting, including management reporting, KPIs, and executive dashboards
- Perform detailed variance analysis, identifying key drivers and translating financial results into actionable business insights
- Partner closely with investment, operations, and corporate functions to understand business performance and support decision-making
- Provide financial analysis and scenario modelling to support strategic initiatives and business planning
- Establish and enhance FP&A processes, frameworks, and reporting infrastructure as the function develops
- Identify opportunities to improve processes, controls, reporting efficiency, and automation
- Present financial performance and key insights to senior management and stakeholders
- Support ad hoc financial analysis and strategic projects as required
Requirements
- Bachelor’s degree in Finance, Accounting, Economics, or a related discipline
- Strong FP&A experience, ideally gained within asset management, hedge funds, private equity, or other alternative investment environments
- Strong financial modelling and analytical capabilities
- Advanced proficiency in Microsoft Excel and PowerPoint
- Solid understanding of accounting and financial reporting principles
- Demonstrated experience across budgeting, forecasting, management reporting, and variance analysis
- Strong commercial acumen with the ability to connect financial performance to underlying business drivers
- Excellent communication and stakeholder management skills, with the ability to work effectively with senior stakeholders
- Comfortable operating in a fast-paced and evolving environment, with a willingness to build processes from the ground up
- Self-starter with strong ownership, attention to detail, and a continuous improvement mindset