Summary of Role
V-Key is one of the world's leading deep-tech companies in mobile cyber-security. Our patented technology V-OS has been deployed by top banks, mobile payment providers, and governments to secure software solutions and protect users globally.
We are rapidly expanding into new markets and new customer segments. Apart from securing digital transactions for everyone, we are also enabling new generation technology by providing the cyber-security infrastructure for banking, government and smart homes, among many others.
Role Summary
We are seeking a driven, hands-on, high‑calibre Finance Manager to be the single point of accountability for financial reporting, consolidation, budgeting, forecasting, cashflow analysis, and financial insights. This individual must thrive in a fast-paced, high-growth environment, take full ownership of deliverables, and consistently produce high-quality reporting. You will lead the end‑to‑end finance cycle, manage a remote India team, and work closely with the Singapore AFM. This role is remote, results-driven, and highly independent.
Key Responsibilities
- Financial Reporting & Month-End Close (Lead & Own)
- Lead the full month-end close and ensure reporting accuracy.
- Prepare complete management reporting pack including P&L, Balance Sheet, Cash Flow, KPIs, commentary.
- Ensure compliance with SFRS/IFRS.
- Review all GL schedules (accruals, prepayments, fixed assets, intercompany, etc).
- Drive a fast and discipline close cycle.
- Group Consolidation
- Prepare monthly/quarterly/yearly consolidation.
- Perform intercompany matching, eliminations, and consolidation journals.
- Ensure timely, accurate consolidation for parent reporting
- Budgeting & Forecasting
- Lead annual budgeting.
- Produce monthly/quarterly rolling forecasts.
- Build financial models and scenario analysis.
- Present insights and recommendations to management.
- Financial & Business Analysis
- Conduct deep-dive analysis on revenue, margins, costs, and variances.
- Identify risks, opportunities, and improvement areas.
- Support tenders, pricing analysis, and business cases.
- Audit, Tax & Compliance Support
- Prepare full audit schedules and act as first point of contact for auditors.
- Work with the Singapore AFM on GST, corporate tax, and XBRL/ACRA compliance.
- Maintain strong internal controls and audit-ready documentation.
- Cashflow & Working Capital
- Prepare short- and long-term cashflow forecasts.
- Analyze cashflow drivers, trends, and working capital metrics.
- Collaborate with AFM (SG), who handles treasury operations and payments.
- Team Leadership & Process Management
- Lead and coach the India Accountant & Revenue Accountant.
- Set clear expectations, deadlines, and quality standards.
- Improve SOPs, controls, reporting templates, and efficiency.
- Support finance system enhancements and automation initiatives.
- Any other ad-hoc projects assigned.
Required Qualifications & Experience
- Degree in Accounting, Finance, or related field.
- Professional qualification preferred (ACCA / CPA / CIMA).
- 6-10 years of finance experience in financial reporting, consolidation, budgeting, and FP&A.
- Strong knowledge of SFRS/IFRS.
- Hands-on consolidation experience.
- Strong analytical and Excel modelling skills.
- Experience managing remote/offshore teams.
- Excellent written and communication skills in English.
Key Competencies
- High ownership, accountability, and follow-through.
- Able to work in fast-moving, high-growth, multi-entity environments.
- Strong time management and discipline.
- Fast learner with the ability to operate in a fast-paced industry.
- Analytical and commercially minded.
- Strong problem-solving and critical thinking.
- High integrity and professionalism.