Finance Manager

FRONTIER RESOURCES PTE. LTD.Singaporemycareersfuturepublished 10/07/2026
Must-have:FinTechLead

KEY RESPONSIBILITIES

A. Financial Accounting & Reporting

  • Handle the full set of accounts, covering accounts payable and receivable, fixed assets, general ledger integrity, reconciliations, and journal review.
  • Manage the month-end and year-end closing processes to ensure all transactions are recorded accurately and within the closing calendar.
  • Prepare complete financial statements – balance sheet, income statement, cash flow statement and statement of changes in equity – in accordance with the applicable financial reporting standards.
  • Ensure timely submission of monthly, quarterly and annual financial reporting packages to management and to the relevant statutory authorities.

B. Treasury, Cash Flow & Banking

  • Manage day-to-day cash flow monitoring and daily cash positioning, optimizing cash holdings and minimizing idle balances.
  • Prepare short-term (monthly and annual) and longer-term liquidity forecasts, and escalate funding gaps or liquidity pressure points to the Head of Finance on a timely basis.
  • Maintain relationships with banks and financial institutions to secure credit lines, treasury products and competitive pricing; administer short-term borrowing arrangements where required.
  • Monitor foreign exchange and interest rate exposure arising from the company's transactions, and support the execution of approved hedging arrangements.
  • Administer payment runs and banking mandates in line with the approved authority limits.

C. Audit, Tax, Compliance & Regulatory Reporting

  • Act as the frontline liaison for external auditors –preparing supporting schedules, responding to queries and resolving findings through to clean and timely audit closure.
  • Coordinate with tax agents and corporate secretarial advisors on corporate tax computation, GST returns, and statutory filings.
  • Monitor compliance with financial covenants and loan agreements, and prepare the related reporting to lenders.
  • Ensure that all regulatory submissions and statutory deadlines applicable to the company are met without exception.

D. Finance Systems, Policy & Internal Control

  • Develop, document and enforce accounting policies, the chart of accounts and the closing timetable.
  • Implement and administer the accounting/ERP system and related finance digital tools, and drive user adoption across the company.
  • Strengthen internal controls over the accounting, payment and treasury cycle, and recommend process improvements that reduce manual effort and error rates.
  • Identify process or system gaps and propose practical remediation to the Head of Finance.

E. Budgeting, Risk & Management Reporting

  • Lead the annual budgeting exercise, working with department heads to gather inputs, forecast expenses and set financial targets.
  • Perform monthly variance analysis against budget and forecast, explaining deviations with clear commercial insight.
  • Prepare management reporting packages covering financial position, liquidity status, risk exposure and treasury activity for review by the Head of Finance and the Chief Financial Officer.
  • Develop financial models and scenario analyses, and support ad hoc finance-related projects as directed.

QUALIFICATIONS& REQUIREMENTS

Education& Professional Qualification

  • Bachelor's degree in Accounting, Finance, Economics or a related discipline from a recognized university.
  • Professional qualification such as CPA, CA, ACCA or equivalent is strongly preferred.

Experience

  • Minimum seven (7) years of progressive experience across accounting, audit and treasury, including at least three (3) years in a managerial or supervisory capacity.
  • Public accounting firm background (Big 4 or equivalent)is strongly preferred, providing credibility in auditor-facing and regulator-facing discussions.
  • Proven track record in owning a full set of accounts end-to-end, from transaction processing through to audited financial statements.
  • Hands-on treasury experience covering cash flow forecasting, banking relationship management, covenant monitoring and foreign exchange exposure.

Technical Skills & Knowledge

  • Strong technical grounding in financial statement preparation under IFRS or equivalent reporting standards, together with a full command of the audit lifecycle.
  • Working knowledge of corporate tax, GST and statutory filing requirements.
  • Practical experience administering an accounting or ERP system and online banking platforms.
  • Strong financial modelling, budgeting and variance analysis capability; advanced spreadsheet proficiency.

Personal Attributes & Competencies

  • High level of accuracy, ownership and discretion when handling confidential financial information.
  • Able to work hands-on and independently in a lean finance team, balancing detailed execution with managerial judgement.
  • Proficiency in understand documents in Bahasa Indonesia and translating them inti English ensuring accuracy and clarity.
  • Strong communication and stakeholder management skills across functions and seniority levels.