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Chief/ Financial Controller (Commodity Trading, GST, ACCA)
Full Time
126000.00 - 162000.00
Job description
Responsibilities: Lead and oversee the financial operations of the commodity trading company. Develop and implement financial strategies and plans to support the company's growth and profitability. Manage and optimize the company's financial resources, including cash flow, working capital, and investment decisions. Ensure compliance with regulatory requirements and accounting standards. Prepare and analyze financial reports, providing insights and recommendations to senior management. Manage relationships with external auditors, tax authorities, and other stakeholders. Coordinate and implement internal controls and risk management processes. Develop and maintain a comprehensive understanding of the company's financial performance and position. Provide expert advice and guidance on financial matters to senior management and other departments. Ensure that all financial transactions are properly recorded, reported, and reconciled. Maintain accurate and up-to-date records of financial transactions, including accounts payable, accounts receivable, and payroll. Prepare and submit timely and accurate financial reports to stakeholders, including the board of directors, investors, and regulatory bodies. Manage and supervise a team of finance professionals, providing guidance, training, and support as needed. Develop and implement processes for identifying, assessing, and mitigating financial risks. Ensure that all financial transactions are properly authorized, recorded, and reported in accordance with company policies and procedures. Coordinate and participate in the development of the company's annual budget and financial planning process. Provide expert advice and guidance on financial matters to senior management and other departments. Develop and maintain a comprehensive understanding of the company's financial performance and position. Ensure that all financial transactions are properly recorded, reported, and reconciled. Maintain accurate and up-to-date records of financial transactions, including accounts payable, accounts receivable, and payroll. Prepare and submit timely and accurate financial reports to stakeholders, including the board of directors, investors, and regulatory bodies. Manage and supervise a team of finance professionals, providing guidance, training, and support as needed. Develop and implement processes for identifying, assessing, and mitigating financial risks. Ensure that all financial transactions are properly authorized, recorded, and reported in accordance with company policies and procedures. Coordinate and participate in the development of the company's annual budget and financial planning process.
Required skills
internal controls
budget planning
risk management
accounts payable
accounts receivable
gst
acca
payroll
regulatory requirements
financial operations
financial reports
accounting standards
financial performance
cash flow
financial transactions
commodity trading
investment decisions
working capital
financial strategies
financial position
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Company information
- Company
- Talent Trader Group
- Location
-
Singapore, Central
Singapore - Posted
- 2 years ago
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