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Full-time Finance & accounting · Posted 27 Sept
Assistant Finance Manager / Finance Manager C Cushman & Wakefield From company site
Salary
Not stated by the company
Start Not stated
Work mode On-site
Experience Experienced About the role This is a hands-on finance role covering financial closing, reporting, tax, treasury and compliance for a global real estate services firm. You will work with controllership, FP&A, tax, treasury and legal teams, and the level of ownership depends on your appointment level and experience. It suits an experienced accountant who is comfortable working in the details and driving matters to resolution.
What you'll do Manage and support the financial closing process in line with US GAAP, FRS and Group reporting requirements Prepare monthly, quarterly and annual financial reports accurately and on time Oversee month-end closing so revenue and costs are recognised correctly and promptly Know someone for this? Share it
Assistant Finance Manager / Finance Manager job at Cushman & Wakefield, Singapore | WorkJio
Analyse P&L variances month-over-month, reconcile balance sheet accounts and advise on corrective actions and accounting treatments
Review unbilled, deferred revenue and cost positions with the business alongside Controllership and FP&A
Handle intercompany accounting, reconciliations, eliminations, settlements and global recharge arrangements
Manage inventory system management, accounting and reconciliation
Maintain internal controls and compliance frameworks, including SOX processes and timely remediation of control gaps
Prepare, review and retain audit-ready control evidence
Manage transfer pricing documentation, intercompany recharge governance and related audit queries
Review global recharges and cross-border intercompany transactions for proper accounting, tax compliance and settlement tracking
Assess and coordinate withholding tax on cross-border payments such as service fees, royalties and management fees
Support tax restructuring initiatives, including operating model changes, entity rationalisation and cash repatriation
Prepare, review and oversee timely GST filings, reconciliations and supporting schedules
Provide finance support on business tax queries covering customer contracts, supplier arrangements, intercompany charges and expense reimbursements
Manage treasury operations including cash flow monitoring, bank account administration, payment controls and working capital planning
Prepare and review year-end statutory financial statements under FRS
Act as finance liaison with internal and external auditors, risk and compliance teams
Coordinate the annual audit process and track, resolve and document audit findings
Support tax audits, IRAS inquiries, transfer pricing reviews, GST reviews and withholding tax queries
Act as a finance business partner, providing financial, tax, treasury and working capital insights for decision-making
Collaborate with cross-functional stakeholders to align financial objectives with business priorities
Assess finance, tax, cash flow and compliance implications of new contracts, business initiatives and operating model changes
Identify gaps, inefficiencies or control weaknesses in finance processes and drive remediation
Support system enhancements, automation initiatives and change Requirements Bachelor's Degree in Accountancy, Finance or a related discipline CPA, ACCA, CA or equivalent professional qualification preferred Minimum 5 to 8 years of relevant finance and accounting experience Strong knowledge of Singapore FRS, US GAAP, statutory reporting and financial controls Hands-on experience in month-end and year-end closing, financial reporting, balance sheet reconciliations and P&L analysis Good understanding of SOX compliance, internal controls, risk management frameworks and audit requirements Apply on the company website
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Open application Listed from Cushman & Wakefield’s own careers page and not yet verified by WorkJio. You apply on the company’s site. See all their roles .
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Listing ID 3656 · Report this listing
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