Opportunity for Senior Finance Leader
Job Description:
Our organization is seeking an exceptional finance leader to take on a regional role. This position involves contributing to APAC strategy while leading a high-performing finance function across multiple jurisdictions.
Key responsibilities include ensuring local financial goals and objectives are achieved, covering financial and management reporting, compliance and statutory obligations, and commercial planning and analysis.
* Assess APAC commercial initiatives, business performance & profitability and market trends.
* Act as the strategic finance lead for the APAC business, working with a cross-functional leadership team to achieve revenue targets and sustainable market growth.
* Be a key participant in global finance initiatives, including an upcoming rollout of a new ERP system.
Required Skills and Qualifications:
A successful candidate will possess strong technical grounding and commercial savvy, along with Chartered Accounting qualifications.
Experience in hospitality, hotel, travel, aviation or cruise line sectors is highly beneficial.
Additionally, the candidate should have excellent communication and leadership skills.
* CA/CPA qualified with strong technical grounding and commercial savvy.
* Experience in hospitality, hotel, travel, aviation or cruise line sectors is highly beneficial.
* Chartered Accounting grounding is preferred but not essential.
Benefits:
This role offers a challenging opportunity for career growth and development within our organization.
The selected candidate will work closely with a dynamic and experienced team, gaining valuable insights and expertise.
Successful candidates can expect a competitive salary package and opportunities for professional growth.
* Oversee the APAC finance team's day-to-day operations (20+ staff across ANZ + SEA) in coordination with four direct reports.
* Ensure timely and accurate completion of statutory accounts, taxation and regulatory obligations for each market.
* Manage treasury functions, including cash flow modelling and forecasting, and maintain reliable cash flow projections and reporting.