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We are seeking a qualified professional to lead the preparation and review of financial statements, ensuring compliance with regulatory standards. This role demands a proactive approach to enhance financial operations and cash management.
PERSOL is Asia-Pacific’s leading Staffing and HR solutions partner, operating across 13 markets with deep local insight and regional scale. With more than 80 offices and decades of experience, we deliver integrated workforce solutions that are tailored, tech-enabled, and designed for the dynamic world of work.
We combine human expertise with smart technology to help organisations solve workforce challenges, unlock potential, and stay ahead of change. From recruitment and talent management to workforce strategy and advisory, our collaborative approach puts your goals at the centre.
In 2025, we came together under the PERSOL name — reflecting our bold vision for the future of work and our Group’s Vision: Work and Smile.
Whether you’re building teams, growing careers, or transforming how work gets done, we’re here.
By sending us your personal data and curriculum vitae (CV), you are deemed to consent to PERSOLKELLY Singapore Pte Ltd and its local and overseas subsidiaries and affiliates to collect, use and disclose your personal data to prospective employers/companies based in any country for purposes of evaluating suitability for employment, conducting reference checks, administering employment related services, complying with Government’s health advisories and such other purposes stated in our Privacy Policy.
Our full Privacy Policy is available at https://www.persolsingapore.com/policies. If you wish to withdraw your consent, please drop us an email at "sg.dataprotection@persolapac.com" to let us know. Please feel free to contact us if you have any queries.
For more information, please visit www.persolsingapore.com
Job ID: 148857199
Skills:
Reporting Tools, Performance management, ROI evaluation, Financial Planning, Business case analysis, commercial finance, Investment appraisal, Demand and capacity planning
Skills:
Forecasting, Compliance with Statutory Requirements, Tax Regulations, Cash Flow Management, Financial Closing Activities, Accounting Operations, Financial Reporting, Accounts Payable, Budgeting, General Ledger Management, Payroll Postings, Internal Control Frameworks, Financial Modelling

Skills:
Financial Analysis, Budgeting, Forecasting, Tax Compliance, Cash Management, Risk Assessment, Regulatory Reporting, Financial Modelling, Cost Control, Investment Strategy
Skills:
D365 ERP systems, Working capital optimisation, Financial analysis, Internal Controls, Financial Planning, Cash Flow Management, KPI tracking, Budgeting, trend identification, Financial reporting, Finance transformation initiatives
Skills:
treasury platforms, ERP systems such as SAP, SAP Analytics Cloud SAC or comparable reporting tools, monthly consolidated financial statements, CPA qualification, multi-entity regional or group financial reporting, liaising with international banks
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