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VP Investment Reporting, Analytics & Systems

  • Location:

    Singapore

  • Sector:

    Accountancy & Finance

  • Job type:

    Permanent

  • Salary:

    Negotiable

  • Contact:

    Candy Chew

  • Contact email:

    Candy.Chew@oliverjames.com

  • Job ref:

    JOB-072022-175678_1659059420

  • Published:

    13 dagen geleden

  • Expiry date:

    2022-08-28

The Job

  • Lead and guide teams under Core Finance - Investment Reporting, Analytics & Systems. Direct reporting line involves the respective team leads. You will manage a strong team of 9~10.
  • Review & manage teams' timely and accurate reporting of investment related accounting requirements per Singapore Financial Standards and MAS regulatory notices. To perform variance analysis in ensuring reasonableness of reported numbers.
  • Provide guidance to teams on accounting & valuation of various financial instruments, assessment of expected credit loss, asset impairment, portfolio performance & risk analytics
  • Maintain close working relationship with custodian bank & external fund managers, internal investment management, investment operation, balance sheet management teams.
  • Manage the internal Investment System, investment data and investment book of records and support internal stakeholders on investment data and analytics requirements
  • Be the gatekeeper and manage multiple stakeholders, which include senior management, internal and external auditors, regulators and business units.
  • Provide guidance to local subsidiaries for in-scope closing processes or as soundboard on best practices.
  • Ensure compliance with group and statutory policies.
  • Be on constant lookout for process and procedure re-engineering and improvement opportunities.
  • Drive and manage the team's involvement in initiatives and projects.
  • Maintain awareness of industry trends on relevant regulatory or statutory change. Take accountability in considering these developments and drive the team to adopt accordingly.
  • Deliver continuous improvement in investment analysis, processes and controls.
  • As part of the leadership team, work with key stakeholders to proactively shape the organisation's culture and conduct environment that is aligned to the organisation's Core Values
  • Champion culture and conduct behavioural expectations within the Department/Division
  • Takes accountability in considering business and regulatory compliance risks and takes appropriate steps to mitigate the risks.
  • Maintains awareness of industry trends on regulatory compliance, emerging threats and technologies in order to understand the risk and better safeguard the company.
  • Highlights any potential concerns /risks and proactively shares best risk management practices.

Our Requirements

  • Good understanding of Financial Markets & various investment instruments, Accounting standards & regulatory requirements relating to valuation of financial instruments (eg IFRS9).
  • Strong degree in Economics, Accountancy , Actuarial or Finance. Qualified CFA, Actuarial or CPA would be desired.
  • At least 15 years of relevant experience preferably in Insurance or Asset Management industry.

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