About the Role
You'll join the Finance Team and report directly to the Senior Finance Manager, supporting the Group CFO and COO on group-level finance matters. This role suits fresh graduates or candidates with 1-3 years of Big Four audit experience looking to build a broader finance career in a FinTech and private credit environment. You'll get hands-on exposure to management reporting, fund accounting, NAV reporting, private credit fund operations, investor reporting, audit, GST, tax, regulatory reporting, internal controls, finance systems, and process improvement, while learning how finance supports decision-making in a growing FinTech and private markets business.
Requirements
- Degree in Accounting, Finance, Business, Economics, or a related discipline
- Strong academic foundation and interest in accounting, financial reporting, fund operations, and financial analysis
- Internship experience in audit, accounting, fund administration, financial services, FinTech, private equity, or fund management will be an advantage
- 1-3 years of experience in a Big Four audit firm, preferably with exposure to financial services, asset management, funds, or private markets clients
- Strong understanding of financial statements, audit processes, accounting standards, and internal controls
- Interest in moving into a broader in-house finance role covering management reporting, fund reporting, NAV analysis, tax, regulatory reporting, and process improvement
- Strong analytical skills, with an interest in understanding financial results, business drivers, and fund performance
- Meticulous, detail-oriented, and committed to accuracy
- Good Excel skills, with the ability to work with financial data, schedules, and analysis
- Proactive and curious, with willingness to ask questions, learn quickly, and take ownership
- Able to manage timelines, prioritise tasks, and work carefully under guidance
- Good written and verbal communication skills
- Positive attitude and collaborative team mindset
- Knowledge of Singapore Financial Reporting Standards, GST / tax matters, MAS reporting, or accounting systems such as NetSuite will be an advantage
Responsibilities
- Support monthly management reporting, including review of financial results, variance analysis, and commentary on key business movements
- Prepare and review month-end closing schedules, accounting entries, reconciliations, and key account balances
- Support NAV and fund performance reporting, including analysis of portfolio movements, return drivers, and investor reporting outputs
- Assist with cash flow tracking, payment review, payroll support, and working capital monitoring
- Prepare audit schedules and supporting documents, and assist in explaining key accounting treatments and balances during the annual audit process
- Support GST, tax, statutory, and MAS regulatory submissions, including understanding the underlying transactions and reporting requirements
- Assist with investor reporting, distribution-related calculations, and supporting documentation
- Contribute to finance process improvements, reporting templates, controls, and system-related initiatives
- Support ad-hoc financial analysis, investment-related materials, and other projects as required