FINANCE MANAGER
Must-have:FinTechSeniorLead
Job Summary
We are seeking an experienced Finance Manager to lead finance and accounting functions, ensuring accurate reporting, strong controls, risk management, and strategic financial advice in a multinational environment.
Responsibilities
- Oversee finance and accounting operations including general ledger, accounts payable and receivable, treasury, and financial reporting to ensure accuracy and compliance
- Lead monthly, quarterly, and annual closing processes to deliver timely and precise financial reports to management and headquarters
- Prepare and review financial statements, management reports, and analyses aligned with accounting standards and group policies
- Manage annual budgets, forecasts, and financial planning by analysing variances and recommending corrective actions
- Monitor cash flow, working capital, banking facilities, and foreign exchange exposure to optimize financial resources
- Establish and enhance internal controls, approval procedures, and finance policies to safeguard company assets.
- Evaluate business proposals, contracts, and investments through profitability analysis, financial modelling, and risk assessment
- Analyse economic conditions, market trends, and business performance to inform strategic planning and management decisions
- Collaborate with headquarters and regional teams on group reporting, intercompany transactions, and reconciliations
- Drive continuous improvements in finance processes, reporting efficiency, and cost management to enhance operational effectiveness
- Lead and develop the finance team to uphold high standards of accuracy, accountability, and performance
Preferred competencies and qualifications
- Bachelor’s degree in Accountancy, Finance, Economics, Business Administration, or related discipline.
- Minimum 5-8 years of relevant experience in finance, accounting, financial planning, or commercial analysis, including 3–5 years in a managerial role leading a finance team
- Proven experience managing comprehensive finance operations within a multinational company
- Demonstrated experience in budgeting, forecasting, cash flow management, financial analysis, and internal controls
- Experience in business planning, economic analysis, investment evaluation, financial modelling, and commercial decision support
- Ability to assess impacts of economic developments, interest rates, exchange rates, and market conditions on business performance
- Experience working with business units to evaluate profitability, control costs, and support business growth
- Experience in regional reporting, intercompany transactions, and foreign currency transactions is highly preferred
- Prior experience in trading, commodities, or international business environment is advantageous
- Strong analytical and problem-solving skills to translate financial and economic data into actionable business recommendations
- Excellent leadership, communication, and stakeholder management skills, including collaboration with senior management and overseas headquarters