Financial Controller – Infrastructure Investment Platform
The Green Recruitment Company · Singapour
Job description
About the role
The client is an international infrastructure investment platform with assets in India and a Singapore‑based holding structure. They are seeking an experienced Financial Controller to serve as the primary finance liaison between Singapore entities, Indian finance teams, co‑investors and senior stakeholders.
Key responsibilities
- Own financial reporting, accounting, management reporting and month‑end close for Singapore holding and investment entities.
- Coordinate consolidation, intercompany balances, accruals, provisions and audit deliverables across Singapore and India.
- Act as the main Singapore finance interface with Indian finance teams, ensuring timely issue resolution.
- Manage finance requests from co‑investors, shareholders, board members and senior management.
- Support capital contributions, distributions, shareholder funding and other cross‑border transactions.
- Oversee cash management, liquidity forecasting, banking activities and payment controls.
- Collaborate with tax, legal, treasury and external advisers on cross‑border tax, statutory and governance matters.
- Strengthen finance controls, reporting processes and approval frameworks across the Singapore‑India structure.
- Assist with acquisitions, refinancing, restructurings and other investment‑related transactions as needed.
Required profile
- Chartered Accountant, CPA, ACCA or equivalent qualification.
- 8–12 years of post‑qualification finance experience.
- Strong controllership, group reporting and consolidation experience.
- Practical experience with Singapore holding or investment entities linked to Indian operations.
- Good understanding of Indian accounting, tax, statutory, treasury and intercompany matters.
- Fluent English communication and ability to work across Singapore and India.
Required skills
- IFRS and/or SFRS reporting standards.
- Familiarity with Ind AS.
- Consolidation and group reporting.
- Cash management and liquidity forecasting.
- Intercompany accounting.
- Tax and treasury processes.
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Published 1 month ago
Expires 4 weeks from now
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The Green Recruitment Company
Singapour
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