Finance and Operations Controller - Singapore - BLUNOMY ADVISORY SINGAPORE PTE. LTD.
1 week ago
Description
**About BlunomyBlunomy is an international strategy consulting firm, dedicated to accelerating the move towards a regenerative society that is
decarbonised, circular and inclusive .
to green.
We have been operating since 2007, previously trading as Enea Consulting, and continue to expand our international team of Blunomists.
We come from various backgrounds and experiences, are open-minded and focused on the future, united by shared values and are passionate about sustainable development and energy access.
We are looking for a passionate
financial and operational controller to support our activities in our four offices in Asia Pacific.
About The Role
Blunomy is currently seeking a Finance and Operations Controller for its four offices located in the Asia Pacific (APAC) region.
However, key areas of responsibility will focus on:
Financial reporting & forecasting:
- Define, track and report on key operational and financial indicators to inform business decisions
- Prepare monthly activity reports at the offices and APAClevel
- Prepare quarterly budget reports for group reporting
- Track activity and financial performance
- Perform short and longterm budget planning.
Operational reporting and planning:
- Liaise with operational teams to ensure accuracy in operational reporting and consistency in reporting standards
- Supervise the interfacing between the operational system and the accounting system
- Work closely with the Head of Offices to develop and execute strategic financial and operational plans.
Additional areas of contribution include:
Accounting
- Participate in the monthly accounting closing process of each country in accordance with local and Group accounting principles, working closely with local accountants
- Participate in the monthly, quarterly and annual financial statements in accordance with Group accounting principles
- Participate in internal control processes in line with Group requirements and propose adjustments when necessary
- Ensure relationship with the external audit companies when required.
Cash Management:
- Control credit management and receivables. Manage litigations
- Be responsible for the cash management activity and cash forecasts.
About You
We seek a motivated, experienced and passionate person to join our growing team. The right person will have some of the following and a willingness and ability to learn the rest.
- Bachelor's degree in Finance, Accounting, Business Administration, or a related field. MBA or CPA designation is a plus.
- 2 years experience in financial management and operations, or a strong background in strategic planning, financial analysis, and budget management.
- Excellent analytical and problemsolving skills.
- Advanced proficiency with Microsoft Excel. Python is a plus.
- Ability to support business development through decisionmaking support
- Deeply rooted result oriented
- Excellent verbal and written communication skills in English and ability to work crossfunctionally at all levels in the organisation and across offices and culture
- Knowledge of Xero and Odoo is a plus
- Knowledge of IFRS is a plus.
Location:
Singapore, HK and Australia also open for discussion
Salary:
Depending on experience
Work Type:
Full-time, starting ASAP