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Assistant Manager - Finance (Regional Tax & Treasury)

Assistant Manager - Finance (Regional Tax & Treasury)

redington distribution pte. ltd.
8-11 Years
SGD 5,000 - 6,500 per month
  • Posted 12 hours ago
  • Be among the first 10 applicants

Job Description

We are looking for a qualified finance professional with strong practical knowledge of taxation & treasury to support our operations across ASEAN & South Asia.

Based in Singapore, the candidate will take ownership of Singapore tax compliance, oversee subsidiaries tax compliance with country finance teams, and manage regional liquidity, banking & funding requirements. The role also includes management reporting & statutory audit coordination.

The candidate must be able to independently assess tax & treasury issues, identify risks, recommend practical solutions & follow matters through to completion.

Key Responsibilities

Taxation & Regional Compliance

  • Own Singapore GST, Corporate Income Tax, withholding tax & Transfer Pricing compliance.

  • Review subsidiaries tax positions, filings & outstanding matters with country finance teams & local tax advisers.

  • Assess the tax implications of cross-border transactions, including software licences, cloud services, services & intercompany transactions.

  • Review withholding tax, treaty relief, indirect tax & permanent establishment considerations before transactions are committed.

  • Manage intercompany agreements, cost allocations & Transfer Pricing documentation.

  • Maintain a regional tax compliance calendar & ensure timely closure of tax queries, assessments & audits.

Treasury

  • Manage regional cash visibility, rolling cash flow forecasts & liquidity requirements.

  • Review working capital needs & coordinate funding across operating entities.

  • Manage banking relationships, credit facilities, utilisation, renewals, covenants & related documentation.

  • Coordinate intercompany loans, fund transfers, repayments & associated tax requirements.

  • Monitor foreign currency exposure & recommend hedging actions within group policy.

  • Maintain controls over payments, banking access & authorised signatories.

Reporting & Audit

  • Prepare monthly, quarterly & annual management reports, variance analysis & board reporting.

  • Review subsidiaries financial results, working capital & key balance sheet movements.

  • Coordinate statutory audits & ensure reporting meets applicable standards & group deadlines.

Requirements

  • Bachelor's degree in Accountancy, Finance or a related field.

  • CA or an equivalent professional qualification is mandatory.

  • Minimum 5 years of relevant experience, with substantial practical exposure to both taxation & treasury.

  • Strong working knowledge of Singapore tax requirements & demonstrated experience handling regional tax matters.

  • Practical experience in cash forecasting, working capital funding, bank facilities, foreign exchange & intercompany financing.

  • Experience working with finance teams across ASEAN and/or South Asia is required.

  • Ability to review unfamiliar country tax issues with local advisers, challenge assumptions & provide clear recommendations.

  • Strong analytical, Excel & communication skills, with the ability to work independently.

  • Experience in IT distribution or cross-border trading is preferred.

More Info

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Key Skills

Foreign Currency Exposure

Statutory Audit Coordination

Withholding Tax

Cash Forecasting

Singapore GST

Intercompany Financing