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Finance Change Specialist (VP level) - 12 Months contract - S$Nego

$ 9,000 - $ 12,000 / month


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We are hiring for a Finance Change Specialist (VP level) for a 12-month contract.

The role holder will be involved in the financial change delivery team of the company as well as various ad hoc projects.

He/she will work closely with multiple internal and external stakeholders including the CFO, actuaries, onshore and offshore teams and other finance functions to ensure that all reporting requirements are met to the highest standards and within the strict deadlines imposed by the Head Office.

This role offers a good learning and development opportunity for the right individual with exposure to the Insurance Finance BAU processes and ongoing projects across the region. It also provides a platform to broaden and strengthen the candidate’s knowledge of both business processes and activities as well as gain experience in controls aspects of Finance

Job Responsibilities: -

  • Working closely with a broader Finance Operations and Finance Change Delivery team.
  • Work with various stakeholders in ensuring the quality of data that flows into the general ledger.
  • Assistance in providing and reviewing requirements on Finance Change Delivery projects.
  • Collaboration with Group, Regional and other impacted stakeholders to implement processes to support the key stakeholders from Finance Operations and Finance Change Delivery team.
  • Guidance and support to the Finance team on a wide range of issues.
  • Collaboration with the Finance Management team to understand the risks involved and support the Assurance Reviews accordingly to ensure there is coverage of key controls.
  • Have a good understanding of end-to-end Finance functions in an insurance business to support ongoing transformation projects or product launches.

Job Requirements: -

  • Min. 8 years of related working experience within Financial Services + Insurance domain knowledge
  • Background in Finance preferred with Finance operations experience.
  • Have a broad knowledge of cash management and interbank fund transfer functions.
  • Has knowledge of implementation of end user controls.
  • Understanding of MAS Regulations, however not mandatory.
  • Understanding of the relevant internal risk management framework, including operational risk policies, SOX framework and knowledge of regulatory environment in the financial services sector.
  • Ability to provide structure and solutions to problematic areas, to challenge information presented, providing explanations to ensure that agreement is reached by both parties.
  • Ability to multitask and manage various stakeholders as well as competing deadlines.

Interested candidates may apply through the application system or send to [email protected]. Shortlisted candidates will be notified.

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