

Search by job, company or skills

About Sembcorp
Sembcorp is a leading energyand urban solutions provider headquartered in Singapore. Led by its purpose to drive energy transition, Sembcorp delivers sustainable energy solutions and urban developments by leveraging its sector expertise and global track record.
Join our Renewable Energy business
Play a role in advancing Asia's energy transition! As a leading renewable energy player, Sembcorp is driving sustainable change, with a growing portfolio of renewables and energy storage solutions across Southeast Asia, China, India, the UK, and the Middle East. Our Renewable Energy segment leverages strong execution and development capabilities to power a cleaner future.
Key Roles and Responsibilities
The role supports Renewables East (Excluding China) (REEC) Line of Business (LOB) covering accounting, budgetary control, capital expenditure & cash management, treasury & tax management, risk management, to meet operating & strategic business targets, as well as managing the Renewables East corporate entity.
Qualification & Experience
Our Culture at Sembcorp
At Sembcorp, our culture is shaped by a strong set of shared behaviours that guide the way we work and uphold our commitment to driving the energy transition.
We foster an institution-first mindset, where the success of Sembcorp takes precedence over individual interests. Collaboration is at the heart of what we do, as we work seamlessly across markets, businesses, and functions to achieve our goals together. Accountability is a core principle, ensuring that we take ownership of our commitments and deliver on them with integrity and excellence. These values define who we are and create a workplace where our people can thrive while making a meaningful impact on driving energy transition.
Join us in making a real impact!
Job ID: 152300197
Skills:
Banking matters, Forecasting, Financial Planning, Product margin analysis, Finance Accounting, Variance Analysis, Month-end and year-end closing activities, Management Reporting, Fixed Asset Management, Bank Reconciliations, Budgeting, Cost Optimization, Gst Returns, Intercompany transactions, Standard costing
Skills:
SFRS, Technical Accounting, ERP improvement, Financial reporting, IFRS, Group consolidation
Skills:
Yardi, Outlook, Excel, Word, Ms Office Suite, Accounting, Powerpoint, Gaap, IFRS
Skills:
SAP, Auditing, Forecasting, CTRM platforms, Corporate finance, Financial Planning, Accounting, Budgeting, Financial reporting
Skills:
Internal Controls, investment income, Corporate income tax, Gst, Valuations, Regulatory Compliance, cash flow forecasts, Process Improvements, treasury activities, system enhancement, Performance Reporting, management accounts, Investment Accounting, Statutory Reporting, SFRS, external audits, portfolio tracking, Financial Statements, automation initiatives, IFRS, Financial Reports, Tax Compliance