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全职 Finance Manager 工作, 薪水, P.L. Global Impex Pte. Ltd. 公司招聘中 - Ricebowl

Finance Manager

P.L. Global Impex Pte. Ltd.

Singapore

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工作地点

  • Singapore

职位描述

岗位职责

About the Role:

We are an established international trading company looking for an experienced and hands-

on Finance Manager – Accounting & Trade Finance to take ownership of the finance

function in our Singapore office.

The role covers financial accounting and reporting, banking and trade finance facilities, cash-

flow management, taxation, audit and financial controls.

You will work closely with management, our trade documentation team and an external

bookkeeping team. We are looking for someone who can review, control and take

ownership of the overall finance function while ensuring that financial matters are

accurate, timely and properly followed through. The role requires 360 degree coordination

with other teams, audit teams, accounts teams, banks, government agencies, etc.


Key Responsibilities:


Finance & Accounting:

 Take ownership of the company & full set of accounts and financial reporting

 Manage and review work performed by the external bookkeeping team

 Review monthly closing, accounting entries, reconciliations and balance sheet

schedules

 Prepare and review management accounts and financial reports

 Monitor receivables, payables and other balance sheet items

 Prepare and maintain cash-flow forecasts and monitor upcoming financial obligations

 Investigate accounting discrepancies and ensure outstanding matters are properly

resolved

 Provide management with timely and clear visibility of the company & financial

position


Banking & Trade Finance:

 Manage day-to-day relationships and coordination with banks

 Monitor banking facilities, limits, utilisation, maturities, interest and financing costs

 Manage the financial aspects of trade transactions, including Letters of Credit (LCs)

and other trade-finance instruments

 Monitor payments, receipts and funding requirements

 Coordinate banking documentation and information requirements

 Manage periodic bank credit reviews and facility renewals

 Work closely with the trade documentation team on banking and financial aspects of

transactions

 Support management in cash-flow and working-capital planning

Tax, Audit & Compliance

 Oversee Singapore GST, corporate tax and other relevant statutory requirements

 Coordinate with external auditors, tax agents and corporate service providers

 Manage annual audit requirements and financial schedules

 Ensure accounting records and supporting documentation are complete and properly

maintained

 Monitor relevant statutory and financial reporting deadlines


Controls & Process Improvement:

 Establish and maintain appropriate financial controls and review procedures

 Ensure appropriate segregation of duties and financial oversight

 Establish clear workflows between management, finance, trade documentation and

external bookkeepers

 Improve management reporting and financial visibility

 Identify opportunities to streamline and automate finance processes

 Support the continued digitalisation and improvement of the finance function


Requirements:

 Singapore Citizen or Permanent Resident

 Degree or Diploma in Accounting, Finance or a related discipline

 ACCA, CA Singapore or equivalent professional qualification preferred

 Approximately 5–10 years of relevant finance and accounting experience

 Strong hands-on knowledge of full-set accounting, reconciliations and financial

reporting

 Good working knowledge of Singapore accounting standards, GST, payroll/HR,

corporate taxation and statutory requirements

 Practical experience dealing with banks, banking facilities and trade finance

 Familiarity with LCs and other trade-finance instruments

 Experience with cash-flow and working-capital management

 Strong reconciliation and problem-solving skills, with the ability to investigate

discrepancies and ensure outstanding matters are resolved

 Experience reviewing or managing work performed by external accountants or

bookkeepers would be an advantage

 Strong Microsoft Excel/Google Sheets skills and familiarity with Xero or similar

accounting systems

 Experience in international trading, import/export, commodities, shipping or a related

business would be an advantage

 Strong written and spoken English

 Able to work independently and communicate confidently with management, banks,

auditors, tax agents and other professional parties

 High level of integrity, discretion, attention to detail and financial-control awareness

 Hands-on, organised and comfortable operating in a dynamic business environment


What We Are Looking For:

We are looking for more than someone who can maintain the accounts.

The successful candidate should understand the relationship between trade transactions,

accounting, cash flow and banking facilities, and be able to translate this into clear and

timely financial information for management.

You should be comfortable getting into the details when necessary while maintaining

oversight of the broader financial position and ensuring that matters are properly followed

through to completion.

The position offers the opportunity to take ownership of an established finance function and

play an important role in strengthening our systems, controls, reporting and processes as the

business continues to develop.

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