FP&A Manager (PERE Buyside role) FP&A Manager (PERE Buyside role) …

Funds Partnership Asia
in Singapore
Permanent, Full time
Last application, 30 Oct 20
Funds Partnership Asia
in Singapore
Permanent, Full time
Last application, 30 Oct 20
Funds Partnership Asia
Exciting opportunity to join a multi-billion dollar Investment Management firm specialising in real estate and infratructure deals! Our client has successfully raised new capital recently, and as such, are looking to expand their finance team in Singapore. Reporting to the Financial Controller, the Financial Planning & Analysis and Reporting Manager will be responsible for all budgeting, forecasting, financial analysis, and financial presentations, and will support the overall finance, accounting and tax function.

Key Responsibilities:

  • Prepare annual budgets for the group
  • Perform budget vs actual analysis on a monthly basis
  • SAP Concur: Implement the budget function on Concur to track project-level budgets vs actual spend
  • SAP Analytics Cloud:
    • Finalise implementation of SAP Analytics Cloud,
    • Ensure clean interface between SAP Concur and SAP Analytics, and
    • Work with the SAP Analytics Cloud system to produce a range of ad hoc and ongoing analytical reports
  • Create and maintain a dashboard on SAP Analytics Cloud to provide a point of reference for senior management
  • Prepare regular group cash projections to monitor group liquidity
  • Set up and monitor the Liquidity Dashboard on HSBCnet
  • Re-produce all analysis for professional formatting in Powerpoint, for use in finance reports and presentations
  • Liaise and work alongside the fund administrator in the preparation of quarterly board reports
  • Liaise and work with outsourced accounting function in the shared services centre and the other offices in Korea, Japan and Australia in compiling information and data
  • Highlight risks and business issues where appropriate, and propose solutions
  • Identify, propose and implement process improvements
  • Ensure smooth interaction and consistency between systems
  • Perform financial modelling and scenario analysis, including compilation of KPIs, construction progress and operational revenue generation on various infrastructure projects throughout their investment markets
  • Other ad hoc project work and support to the CFO, Financial Controller and Senior Finance Manager, as required


  • Qualified CPA / CA or equivalent
  • At least 6 years’ of relevant work experience
  • Exposure to private equity, energy/infrastructure or funds management sectors will be beneficial
  • Prior experience working with SAP Analytics Cloud and SAP Concur (Invoice and Expense) will be advantageous
  • Possess the ability to summarize complex financial data into concise, actionable reports for senior management
  • Prior experience with preparation of Board of Directors meeting materials will be given priority
  • Excellent Excel and Powerpoint skills
  • Excellent written and oral communication skills (including report writing)
  • Strong interpersonal skills, and the ability to confidently interact with senior management and peers from the other office across the globe
  • Strong work ethic and able to work under pressure and to tight deadlines
  • Innovative attitude, able to propose changes to existing processes to maximise efficiency
  • Highly organised, methodical and efficient
  • History of working effectively in a team environment
  • Ability to work independently to achieve optimal results with a “can do” attitude
  • Demonstrated stable work history
Company Overview

Funds Partnership is a global boutique executive search firm specialising in the investment management industry. Due to our clients’ location and language-specific needs, Funds Partnership focuses on 6 core markets: Singapore, Hong Kong, China, Japan, India and Australia – all which have thriving fund ecosystems.

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