Roles & Responsibilities
- High-Impact Role in a Fast-Growing Tech Company
- Collaborative Culture with Global Exposure
About Our Client
A high growth cybersecurity company, empowering digital businesses to thrive securely. We're looking for a strategic and hands-on Finance Manager to join our APAC HQ and help scale our financial operations to the next level.
Job Description
Lead monthly, quarterly, and annual financial closing and reporting processesPrepare and analyze financial statements, management reports, and KPIsManage group consolidation across multiple entities and jurisdictionsDrive budgeting, forecasting, and variance analysis across departmentsEnsure compliance with statutory requirements, tax regulations, and internal controlsManage cash flow, working capital, and treasury functionsPartner with cross-functional teams to support business growth and cost optimizationLiaise with auditors, tax agents, and regulatory bodiesSupport fundraising, M&A, and investor relations activities as neededThe Successful Applicant
Bachelor's degree in Accounting, Finance, or related field; CPA / ACCA preferredAt least 7 years of relevant experience, ideally in tech or high-growth environmentsStrong knowledge of Singapore financial regulations and IFRSProven experience in group consolidation and multi-entity reportingProficient in financial systems (e.g. NetSuite, SAP, Xero) and ExcelAnalytical mindset with attention to detail and business acumenExcellent communication and stakeholder management skillsSelf-starter with a proactive and collaborative approachWhat's on Offer
Mission-Driven Innovation - Be part of a company protecting digital ecosystems globally.High-Impact Role - Influence strategic decisions and scale financial operations.Collaborative Culture - Work with global teams in a fast-paced, empowering environment.Michael Page International Pte Ltd | Registration No. N
Tell employers what skills you have
IFRS
Forecasting
Management Skills
Treasury
Consolidation
Tax
Variance Analysis
Internal Controls
SAP
Accounting
Financial Statements
Xero
Budgeting
Capital
Cash Flow
Stakeholder Management