Financial Controller
90 Seconds
Accounting & Finance
Singapore
Posted 6+ months ago
90 Seconds is in a period of rapid growth and international expansion. As we scale operations and prepare for capital markets activity, we are seeking a commercially astute Financial Controller to complement our finance operations, maintain governance excellence, and help drive financial performance across the business.
This is a critical leadership role designed to augment and advance the company’s finance capabilities during a pivotal phase. The Financial Controller will work closely with the CFO, senior management, internal finance teams, and a wide range of external finance vendors, auditors, tax and legal advisors.
Beyond technical excellence, this role requires a strong people leader and stakeholder manager — someone who can confidently engage across functions, motivate internal teams, and coordinate across time zones and cultures to deliver on business outcomes.
What You'll Love Doing
- Business-as-Usual Operations, Banking & Audit
- Manage day-to-day finance operations of the team including payments and reconciliation processes.
- Maintain and optimise banking relationships across jurisdictions.
- Oversee annual statutory audits and ensure timely financial statement delivery for all group entities.
- Coordinate with external auditors, tax agents, and legal advisors to ensure compliance with local statutory, tax, and reporting requirements.
- Assist in the preparation and timely filing of corporate income tax, GST/VAT returns, and withholding tax submissions for all group entities.
- Monitor ongoing compliance with tax legislation, including cross-border regulatory developments affecting the group.
- Liaise with external tax advisors and regulators to resolve queries, manage risks, and optimise tax efficiency.
- Ensure financial operations adhere to internal policies and applicable regulatory frameworks.
- Build and maintain dynamic financial models incorporating P&L, balance sheet, and cash flow statements across multiple scenarios.
- Partner with business and strategy teams to develop forecast assumptions and deliver rolling forecasts and strategic plans.
- Conduct variance analysis to identify key business drivers and provide insights for performance improvement.
- Deliver ad hoc financial analysis and modelling support for M&A, investment rounds, and strategic projects.
- Collaborate with Sales and RevOps teams to validate the accuracy of booking data and revenue recognition processes.
- Review and maintain commission structures in accordance with company policies, sales agreements, and financial targets.
- Ensure alignment between sales pipeline, invoicing, and recognised revenue across CRM and ERP systems.
- Partner with sales leadership to ensure incentive plans are financially sound, transparent, and correctly accounted for.
Taxation & Compliance
Financial Modeling & Analysis
Revenue Operations & Commission Management
Who You Are
- Chartered Accountant (CA), CPA, or equivalent qualification.
- 8–10+ years of relevant experience in financial control, audit, or corporate finance, including experience managing multi-entity structures.
- Proven track record managing audits and regulatory reporting in a regional or global organisation.
- Proficiency in building and maintaining complex financial models, with a strong understanding of accounting principles and financial concepts.
- Advanced Excel skills and familiarity with data management platform and accounting software (eg. Xero).
- Excellent analytical and problem-solving skills, with the ability to translate data into actionable insights.
- Strong communication and collaboration skills, with the ability to effectively interact with stakeholders at all levels.
- Detail-oriented with a commitment to accuracy and quality in all deliverables.