Group Finance Manager leading financial management, reporting, and strategic planning for Cargobase. Collaborating with global entities and providing insights for operational efficiency and growth.
Responsibilities
Lead the company’s financial management, reporting, and strategic planning functions across all global entities
Oversee all financial operations across multiple entities and currencies, including budgeting, financial reporting, tax compliance, payroll, and process automation
Act as a strategic business partner to the leadership team, providing financial insights that drive decision-making, operational efficiency, and profitable growth
Partner with functional leads to align financial goals with company-wide KPIs/OKRs and 2026 strategic objectives
Prepare consolidated management reports (P&L, balance sheet, cash flow) with detailed variance and trend analysis
Oversee full-cycle accounting operations for global entities including general ledger, accounts payable, accounts receivable, and intercompany reconciliations
Manage statutory audits, local tax filings, and payroll processing in collaboration with external service providers/accountants and tax advisors in the USA, Singapore, Malaysia, Mexico, and the Netherlands
Maintain robust internal controls and financial policies to safeguard assets and ensure accuracy in reporting
Support the CEO in developing the company’s financial strategy
Prepare investor reports, and performance dashboards
Develop and maintain rolling cash flow forecasts to ensure healthy liquidity across all entities
Monitor receivables aging, payment cycles, and intercompany settlements.
Manage banking relationships, foreign currency exposures, and treasury operations.
Requirements
Bachelor’s degree in Accounting/ Finance
Professional certification such as CPA, ACCA or ACA preferred
Minimum 8–10 years of progressive finance experience, with at least 3 years in a regional or group finance leadership role managing the month-end financial reporting
Strong understanding of IFRS, multi-entity consolidation, and cross-border taxation
Hands-on experience in SaaS financial models, including deferred revenue, ARR, and unit economics
Proficient in financial systems (Zoho Books, Xero, SAP, or Netsuite) and advanced Excel / Google Sheets
Excellent communication and stakeholder management skills; able to collaborate with teams across business and technology functions
Strong analytical, problem-solving, and organisational abilities.
Comfortable working in a fast-paced, agile, and multicultural environment.
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