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Finance Analyst

Essex Bio-Technology

Singapore · À temps plein

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Expérience
3 à 6 ans
Salaire
Ouvertures
1
Publié
il y a 3 heures
Mode de travail
Au bureau
Éducation
Bachelor's degree in Finance, Accounting, or related field
CV
Candidature requise

Votre lieu de travail

Description de l'emploi

About EssexBio

Essex Bio-Technology, or EssexBio, is a biopharmaceutical company focused on products that address unmet commercial and clinical needs. Its portfolio spans several therapeutic areas, including ophthalmology, dermatology, and wound healing. The company has an expanding international footprint across the U.S., Europe, and Asia, and its teams may work on cross-border initiatives.

EssexBio is publicly listed on the Hong Kong Stock Exchange and operates from headquarters in Singapore and Zhuhai, supporting Asia-Pacific and China, respectively. In Singapore, the business operates through subsidiaries with a focus on translational research, healthcare services, and market access for biopharmaceutical products.

This opportunity is based at EssexBio’s operating headquarters in Singapore through one of its subsidiaries. The position offers the chance to contribute to regional and global operations while supporting innovation and wider impact in healthcare.

Role Overview

The Finance Analyst will play a key role in treasury support, budgeting activities, and cash flow management across multiple entities. The position is suited to someone who enjoys working across functions and geographies, with scope to help improve processes and take responsibility for financial workflows.

Key Responsibilities

  • Handle payment processing across Singapore and other country entities.
  • Keep payment trackers current, accurate, and well maintained.
  • Check that all backing documents are complete and correct before approvals are sent for submission.
  • Assist with bank administration tasks such as user access, documentation, and related submissions.
  • Collect, review, and validate financial information for budgeting exercises.
  • Update and maintain budget templates.
  • Carry out monthly variance analysis and investigate significant movements.
  • Monitor fund usage and drawdowns against approved budgets.
  • Maintain rolling cash flow forecasts for multiple entities.
  • Track liquidity levels and flag issues early, ideally 1–2 months in advance.
  • Spot unusual cash activity and escalate concerns when needed.
  • Identify potential risks and recommend actions to reduce them.
  • Own budget preparation across entities.
  • Refine and manage cash flow forecasting models.
  • Improve the speed and accuracy of reporting.
  • Support ongoing process improvements in treasury and finance operations.

Requirements

  • A bachelor’s degree in Finance, Accounting, or a closely related discipline.
  • Three to six years of experience in finance-related roles.
  • Exposure to FP&A, cash flow management, or business partnering.
  • Strong preference for candidates with experience beyond core accounting, particularly in FP&A, cash flow, or commercial finance.
  • Experience working in multi-entity environments or with regional responsibilities is an advantage.
  • Background in the pharmaceutical or biomedical sector will be considered a plus.

Additional Information

This role is centered on treasury operations, budgeting, and cash flow oversight across multiple entities. It also involves taking ownership of financial processes and contributing to improvements in reporting and workflow efficiency.

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