SEGI Group is a renowned name in the fresh retail industry, dedicated to meeting customer and delivering value through a complete supply chain model. We take pride in our commitment to freshness, convenience and exceptional service to local communities, guided by our core values. Every step of our supply chain, from sourcing to distribution, upholds the highest standards of quality and integrity.
Entrepreneurship development is our leader's objective. We nurture our internal talents to ensure everyone is given fair opportunities to progress while being aligned with our business growth. We practice the following to progressively improve:
- Freedom to share thoughts and views
- Embracing constant change
- Encouraging and enabling innovation
- Cultivating problem-solving and soft skills
- Promoting a caring and team-player culture
If you are keen to be part of our family, please send your resume to [Confidential Information]
Key Responsibilities:
- Strategic Financial Leadership
- Develop and execute financial strategies to support business.
- Lead the financial due diligence, corporate structuring, and compliance process.
- Manage relationships with regulatory bodies, auditors etc.
- Oversee financial risk management and corporate governance.
- Financial Planning, Budgeting & Forecasting
- Drive long-term financial planning and strategy alignment with business objectives.
- Oversee the annual budgeting process and provide accurate financial forecasts.
- Conduct financial modeling and scenario analysis for strategic decision-making.
- Optimize capital allocation and working capital management.
- Financial Reporting, Compliance & Internal Controls
- Ensure timely and accurate financial statements in compliance with regulatory standards.
- Implement and enhance internal control frameworks to mitigate financial risks.
- Ensure tax planning, compliance, and reporting align with statutory requirements.
- Lead external and internal audits, ensuring full compliance with corporate and financial regulations.
- Cash Flow & Treasury Management
- Oversee cash flow management, ensuring liquidity for operations and growth.
- Manage banking relationships and funding strategies, including debt/equity financing.
- Develop and implement treasury policies to optimize capital structure.
- Cost Management & Business Performance Optimization
- Implement cost-saving initiatives to improve profitability and operational efficiency.
- Monitor key financial performance indicators (KPIs) and provide insights for business improvement.
- Support supply chain and retail operations through financial analysis and data-driven recommendations.
- Team Leadership & Development
- Build and mentor a high-performing finance team.
- Foster a culture of financial discipline, accountability, and continuous improvement.
- Provide guidance on financial best practices and industry benchmarks.
Requirements:
- General Manager, Finance: At least 10 years of experience in finance/accounting with strong leadership and strategic finance expertise.
- Professional qualifications are preferred.
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