Executive, Finance - #1100945
SPTel

Company Brief
SPTel is a joint venture between ST Engineering and SP Group and we are able to leverage the strengths of our parents to provide unique connectivity and digital services for our customers to become the digital services provider of choice. Our network is known for reliability and diversity because our unique fibre pathways combine leased SP Group infrastructure with owned fibre pipes laid alongside the power network cables. Our network structure also ensures your data takes the shortest possible route for optimal performance.
SPTel is a Business Class Digital Services provider that promises:
· Fully digitalised processes, enabling on demand provisioning of services such as Bandwidth and cyber security
· Business Grade connectivity standards that include <1ms ultra low latency performance and clean-pipe connectivity as a default
· True network diversity for improved reliability with unique fibre pathways and facilities that are physically separate from incumbent telcos
· Innovative services such as Quantum Key Distribution-as-a-Service (QKD-a-a-S), IoT-a-a-S and Edge Cloud
We are well recognised in the industry clinching numerous awards for our cutting-edge telco services and featured on CNA in a documentary “Home-Grown with a Digital Edge” as well as vignette “Securing the Future in the Age of Quantum Computing”.
These accolades and achievements are the result of us meticulously grooming a team of talents and specialists to be part of our exciting journey and we are looking to grow our team. If you are a skilled and driven individual, do join us as co-creators of the future of SPTel.
Responsibilities:
Responsible in preparing management reports with metrics, KPI and variance analysis for all business units
Conduct financial analysis and develop financial models, and provide recommendation to management for business strategies
Assist in KPIs setup and assessment for measuring the performance of the company
Coordinate with internal departments for regular management reporting, budget variance and other management reporting related matters
Drive cashflow forecast process and provide various cashflow analysis
Supervise the corporate cash and maintain corporate liquidity
Carrying out daily cash positioning and preparing monthly treasury documents
Derive the Full-Loaded Costing for each product
Work with various stakeholders to ensure manage the budget
Handle staff claim process
Any other ad-hoc duties as assigned by superior from time to time.
Role Requirements:
Degree in Finance, Accounting or related discipline with a recognized professional accounting qualification is preferred
3-5 Years related experience with General ledger / audit background.
Candidate with Financial Planning & Analysis (FP&A) experience will be added advantage
Proficient in Excel (e.g. Formulas, Pivot tables)
Positive and proactive attitude takes ownership in tasks assigned with a strong commitment to task completion even when faced with challenges/tight deadlines.
Detail oriented with a high level of organizational and communication skills
Good analytical and presentation skills
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