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Financial Analyst (Financial Planning, Analysis and Treasury) job in Woodlands at Singapore American School

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Financial Analyst (Financial Planning, Analysis and Treasury) at Singapore American School

Financial Analyst (Financial Planning, Analysis and Treasury)

Singapore American School Woodlands Permanent
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The Financial Analyst will be responsible for financial planning, analysis and reporting on school operations,  financial data and cash management. This may include developing models for projecting trends and results, analysing variances, overseeing the school invested assets, the financing of the campus upgrade plan and the cash flow projections.

We are seeking an innovative leader with experience in modelling and financial assets management, able to work collaboratively across the entire Finance Department and to provide analysis to help management to make informed decisions.

Qualifications Required:

        Bachelor’s / Master’s degree in Finance, Accounting or Business Administration

        Audit experience (big 4) preferred

        At least 5 years of relevant experience in accounting, investment management and financial analysis

        Experience in developing financial models and forecasts

        Proficient in Microsoft Office and Google suite

        Ability to effectively prioritize and execute tasks in a high-pressure environment to drive results

        Excellent customer service and communication skills

        High level of integrity, professionalism and demonstrated attention to detail

        Strong English language skills (both written and oral)


        Collect, analyze, and report on school operating and financial data.

        Develop complex operating models (Excel) for projecting trends and results.

        Maintain a set of benchmarks related to various aspects of school operations including comparable data from other appropriate schools.

        Develop and implement a financial model for managing working capital cash flows and utilize this model to maximize funds available for investment.

        Develop, review and update treasury policies in collaboration with management and investment advisory committee. Assist in managing administration of the investment portfolio including maintaining investment accounts and executing the approved investment plan.

        Review and monitor cash position and funding forecast. Manage loan drawdowns to support Campus Upgrade Project and ensure timely settlement of financial transactions. Monitor compliance of covenants of loan agreement.

        Develop and formalize processes, communication and documentation required to accomplish analytical and reporting activities. Create, maintain and update policies, procedures, and documentation covering all processes and models developed.

        Maintains strict confidentiality of all records, correspondence, etc. in a well organized and accessible manner.

        Relates courteously and effectively with students, parents, school personnel, district personnel, and community members as necessary.

        Remain available and willing to assist should an emergency situation arise.

        Performs other duties as assigned by the Director of Finance, Chief Operating Officer and/or  Superintendent of Schools.

Recommended Skills

  • Accounting
  • Asset Management
  • Cash Flows
  • Financial Analysis
  • Financial Modeling
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