Finance Manager - #1094908
SPD Scientific Pte Ltd

Join Biomedia Holdings and Shape the Future of Science and Technology!
At Biomedia Holdings, we are a leading group of companies based in Singapore, specializing in microbiology and molecular diagnostics (infectious diseases), cancer diagnostics and therapeutics, radiation safety and research, and surgical devices (primarily in women’s health and orthopedics). We serve customers primarily in the Healthcare, Research, and Food & Pharmaceuticals industries. Our expertise lies in the marketing and distribution of point-of-care solutions, high-tech equipment, and consumables essential for laboratories and hospitals.
With a strong presence across the ASEAN region, Biomedia Holdings is poised for significant growth and expansion. We are continually venturing into cutting-edge technologies to enhance the capabilities of our industry and provide treatment possibilities that improve the lives of communities.
We are seeking strategic, resilient, and adaptable individuals who thrive in a dynamic and fast-paced work environment, both locally and regionally, to join our team and contribute to our ambitious expansion plans.
Be part of our journey to empower the sciences and positively impact lives in our community. Apply now and help us elevate Biomedia Holdings to new heights.
As a Finance Manager, you will play a key role in overseeing and managing accounting operations for Singapore. You will be responsible for ensuring timely monthly closing and financial reporting, managing budget and forecasting accuracy, ensuring financial compliance and contributing to the analysis of financial performance. You will also provide tactical accounting guidance, and overseeing the consolidation of financial data across the region. This position requires a strong understanding of accounting, with excellent accounting operations knowledge, value optimization (improvements) skillset, good problem-solving capabilities, and the ability to work collaboratively with various stakeholders
Responsibilities
Financial Reporting and Consolidation:
Prepare accurate and timely financial reports, including P&L statements, balance sheets, and cash flow statements.
Lead and Oversee the consolidation process from multiple entities, ensuring accuracy and completeness of financial data across the region.
Ensure compliance with accounting standards, regulations, and company policies
Well versed in AP, AR and GL operations
Experience in managing a shared service centre will be a plus
Budget Management:
Monitor and control regional budgets, providing insights into variances and recommending corrective actions.
Work closely with department heads to align budgetary goals with operational needs.
Monitor the financial performance in accordance to the budget and forecasts.
Allocate expenses of corporate centre to various profit centres
Risk Management:
Identify financial risks and opportunities within the region, proposing strategies to mitigate risks and capitalize on opportunities.
Implement and monitor effective controls over financial and business risks
Business Partnering:
Partner with other departments, including sales, operations, and supply chain, to align financial goals with overall business objectives.
Provide financial insights and guidance to support decision-making at the regional level
Audit and Compliance:
Coordinate and manage external audits, ensuring compliance with regulatory requirements.
Implement and enforce financial policies and procedures to maintain high standards of financial integrity.
Team Management:
Supervise, train and develop a regional accounting team, providing guidance and support for professional growth.
Foster a collaborative and results-oriented work environment.
Qualifications:
Bachelor's degree in Accounting, or a related field
ISCA / Chartered Accountant / ACCA Member
Minimum 10 years of professional accounting experience
Proven experience in leading teams and managing regional accounting operations
Preferably in the trading and distribution industry
ERP Implementation experience is a plus.
Strong understanding of financial regulations, accounting principles, and financial analysis
Skilled in performing detailed and complex numerical computations and reports
Excellent communication and interpersonal skills.
Proficient in MS Office suite especially MS Excel (Pivot, V-Lookup) and PowerPoint; monthly preparation of presentation will be required
Proficiency in ERP system - Navision/Business Central experience is an advantage
Good in execution, structured, resilient, meticulous and detailed
A resilient team player to the management team and can deliver under tight deadlines
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