# Group Financial Controller

> Fuku · Singapore, Singapore · Full-time · Posted 2026-04-29

**Workplace:** on_site

## Description

Group Financial Controller  
  
Key Responsibilities  
  
1\. Financial Reporting, Consolidation & Statutory Audit  
\- Prepare consolidated financial statements across all nine entities in accordance with SFRS(I) and internal Group policies  
\- Own monthly, half-yearly, and annual closing cycles, ensuring timely, accurate, and well-controlled reporting  
\- Lead the annual statutory audit process across all entities, serving as the primary counterpart to external auditors  
\- Oversee management reporting, MIS, and KPI dashboards for the CEO, Executive Chairman, and Board  
\- Lead results analysis and variance commentary for Group and subsidiary performance  
  
2\. SGX Catalist Compliance, Annual Report, AGM & Sustainability Reporting  
\- Ensure compliance with SGX Catalist Rules, including continuous disclosure obligations  
\- Prepare half-year and annual financial results announcements  
\- Lead preparation of the Annual Report and Sustainability Report, including stakeholder materiality assessment and climate-related disclosures  
\- Coordinate AGM preparation, including financial sections, resolutions, and shareholder materials  
\- Monitor and report on Interested Person Transactions (IPTs) and IPO proceeds utilisation  
\- Prepare Audit Committee and Board finance papers; attend AC and Board meetings as required  
\- Support CEO and Executive Chairman on engagement with sponsors, external auditors, and registrars  
  
3\. Internal Controls & Internal Audit  
\- Design, maintain, and strengthen the Group's internal control framework  
\- Enforce segregation of duties, authority matrices, and approval workflows  
\- Lead fraud risk assessment and prevention protocols  
\- Lead the annual internal audit cycle, including scoping, coordination, and remediation tracking  
\- Ensure timely closure of all internal and external audit findings  
\- Serve as an independent check within the executive team, escalating matters of concern as needed  
  
4\. Treasury, Cashflow & Banking  
\- Manage treasury operations and day-to-day liquidity  
\- Own Group cashflow forecasting, working capital management, and debt covenant monitoring  
\- Lead banking relationships and manage credit and banking facilities  
\- Drive new banking facility discussions and negotiations, including preparation of submissions and financial projections  
  
5\. Budgeting, Forecasting & Finance Support  
\- Lead the annual budget cycle and rolling forecast process  
\- Translate financial performance into clear management reporting and commentary  
\- Support business units on financial information requests, budget tracking, and variance discussions  
  
6\. Systems, Processes & Continuous Improvement  
\- Drive improvements in financial processes, reporting structures, and controls  
\- Partner with the Technology team on ERP and finance system implementation and integration  
\- Standardise workflows and reduce reliance on manual processes  
\- Establish scalable, well-documented finance processes to support growth  
  
7\. Tax & Regulatory  
\- Oversee Group tax compliance, planning, and transfer pricing arrangements  
\- Manage statutory filings and regulatory submissions across all subsidiaries  
  
8\. Team Leadership & Capability Building  
\- Lead, mentor, and develop the finance team  
\- Coach and develop high-potential team members, including technical training on SFRS(I), consolidation, and listed-company reporting  
\- Build bench strength and succession capability within the finance function  
\- Establish a high-performing, disciplined, and values-aligned finance culture

## Apply

[Apply at Fuku](https://apply.workable.com/fuku/j/DE1C967AC5/apply)

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