CFO - Global Investment Fund
- Employer
- T+O+M, EA Licence No: R1105397
- Location
- Singapore, Singapore
- Salary
- S$300k - S$400k
- Closing date
- Nov 15, 2022
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- Job Function
- Accounting/Audit/Tax
- Industry Sector
- Finance - General
- Employment Type
- Full Time
- Education
- Bachelors
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Responsibilities:
- With an emphasis on business strategy and innovation this role will be responsible for the finance organisation structure and ongoing management
- Ownership of special projects to drive financial and operating performance with a focus on technology design and process automation
- Financial planning and analysis, budgeting and forecasting and financial control
- Setting the direction and standards for financial reporting across the business with the mindset of continuous improvement and automation
- Assist senior management in the production of monthly and annual presentation packages to deliver insights on business performance
- Compile and analyze monthly reporting to include business metrics, results and P&L variances against projections
Prerequisites for role:
- 15-20 years post-qualified experience within a professional services company with strong financial planning and analysis as well as financial controlling experience
- You will be someone who loves creative problem solving and is comfortable challenging the status quo and has exceptional interpersonal and communication skills
- Experience in private equity, funds management, private equity or real estate
- Tertiary qualification in Accounting or Finance
- With an emphasis on business strategy and innovation this role will be responsible for the finance organisation structure and ongoing management
- Ownership of special projects to drive financial and operating performance with a focus on technology design and process automation
- Financial planning and analysis, budgeting and forecasting and financial control
- Setting the direction and standards for financial reporting across the business with the mindset of continuous improvement and automation
- Assist senior management in the production of monthly and annual presentation packages to deliver insights on business performance
- Compile and analyze monthly reporting to include business metrics, results and P&L variances against projections
Prerequisites for role:
- 15-20 years post-qualified experience within a professional services company with strong financial planning and analysis as well as financial controlling experience
- You will be someone who loves creative problem solving and is comfortable challenging the status quo and has exceptional interpersonal and communication skills
- Experience in private equity, funds management, private equity or real estate
- Tertiary qualification in Accounting or Finance
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