Corporate Manager

5 days ago


Singapore ICMG HOLDINGS PTE. LTD. Full time
Roles & Responsibilities

ICMG Group is a Japanese Company focused on Management consulting, Investment Advisory/Management and Venture Capital business, with key focus industries on New Emerging Technology, Sustainability Goals, Renewable Energy and Power Infrastructure in Asia. At ICMG Group, we are looking for talented, self-driven professionals who want to play a key role in an enriching journey where we challenge ourselves to provide more than just outstanding value to our clients and our work. We encourage our people, at all levels, to make a purposeful impact on our business, communities and society.

As an Admin executive, you play a crucial part in our team's overall performance. Strong operational support allows our consultants to be able to focus on engaging their clients with their vision and problem-solving capabilities.

Job title: Corporate Manager

Responsibilities:

  • Oversee financial operations, budgeting, forecasting, and cash flow management across multiple group companies within ICMG Group.
  • Prepare and analyze financial reports, variance analyses, and manage overall performance against budgets and forecasts (P/L, B/S, and cash flow).
  • Implement effective financial control and monitoring mechanisms to ensure accurate reporting and compliance with group policies.
  • Coordinate closely with group subsidiaries, ensuring timely and accurate consolidation of financial statements and related data.
  • Monitor and manage cash flows, ensuring optimal liquidity and capital efficiency across group companies.
  • Provide insights and strategic financial advice to senior management for informed decision-making.
  • Collaborate with internal and external auditors, ensuring compliance with regulatory requirements and internal standards.

Requirements:

  • Bachelor's degree in Finance, Accounting, or related field; MBA or CPA preferred.
  • Minimum 5 years of relevant experience in corporate finance, financial analysis, budgeting, and cash management, ideally within a group company or holding structure.
  • Strong understanding of financial and management accounting, cash flow management, and budgeting.
  • Excellent analytical and problem-solving skills with attention to detail.
  • Ability to effectively communicate and collaborate across different entities and organizational levels.
  • Proficient in financial software and advanced Excel skills.
  • Business-level Japanese is a must to communicate with Japan HQ and Japanese clients.

Others:

Salary range: SGD 8,000-10,000 + VB

Working hours: 9am-6pm

Medical insurance (including Dental)

Interview process: 2-3 round of interview (Face-to Face)

Application Procedure

Interested candidates who wish to apply for this position, please click APPLY NOW.

We regret that only shortlisted candidate will be notified.

Tell employers what skills you have

Management Consulting
Consolidation
Cash Flow Management
Venture Capital
Advanced Excel
CPA
Financial Statements
Management Accounting
Financial Analysis
Cash Management
Cash Flow
Corporate Finance
Japanese

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