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Director of Finance

External
COMO HOTELS & RESORTS (ASIA) PTE. LTD. logoComo Hotels & Resorts (asia) · Como House, Singapore
S$180K–S$192K/yrFull-timeUnknownToday
BudgetingComplianceFinancial AnalysisForecastingLeadership
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Responsibilities

  • Financial Reporting, Accounting & Consolidation
  • Oversee the preparation, review and consolidation of monthly, quarterly and annual financial statements for all properties, subsidiaries and corporate entities.
  • Ensure timely and accurate financial reporting in accordance with IFRS, company policies, statutory requirements and regulatory standards.
  • Review monthly management accounts, balance sheet reconciliations, journal entries and financial performance reports.
  • Analyse financial results and provide meaningful commentary on key business drivers, risks, opportunities and performance trends.
  • Prepare executive-level financial reports and presentations for the Vice President Finance, Executive Committee, Board and ownership.
  • Ensure proper maintenance, safeguarding and retention of accounting records and financial information.
  • Financial Planning, Budgeting & Forecasting
  • Lead the annual budgeting process across all properties and corporate functions.
  • Coordinate operating budgets, capital expenditure budgets, long-range plans and rolling forecasts.
  • Review monthly forecasts and provide recommendations to improve forecast accuracy and financial performance.
  • Conduct financial modelling, scenario analysis and business case evaluations to support strategic decisions.
  • Monitor budget performance and ensure timely identification and resolution of material variances.
  • Assist the Vice President Finance in preparing consolidated Group operating and capital budgets with commentary and performance reviews.
  • Operational Finance & Business Partnership
  • Partner with hotel operations teams to improve financial and operational performance.
  • Analyse key hospitality performance indicators including RevPAR, ADR, Occupancy, GOP and EBITDA.
  • Support operational decision-making through financial analysis and commercial insights.
  • Conduct periodic reviews of property financial performance, operational effectiveness and compliance with Group standards.
  • Provide finance expertise, coaching and guidance to hotel finance teams, corporate finance team and department heads.
  • Treasury, Cashflow & Working Capital Management
  • Oversee Group cashflow planning, liquidity management and funding requirements.
  • Monitor working capital performance and optimise cash utilisation across the portfolio.
  • Review property cashflow forecasts and funding needs.
  • Ensure timely collection of receivables, including management fees and reimbursable expenses, and effective management of payables.
  • Support banking relationships, financing arrangements and covenant compliance.
  • Identify financial risks and escalate significant issues to senior management.
  • Internal Controls, Compliance & Governance
  • Ensure implementation and consistent application of Group Finance Policies, Standard Operating Procedures and governance standards.
  • Maintain robust internal control frameworks to safeguard Group assets and financial integrity.
  • Monitor compliance with statutory, regulatory, tax and audit requirements across all jurisdictions.
  • Review corporate tax computations and tax filings and coordinate responses to tax authorities.
  • Coordinate internal and external audits and ensure timely resolution of audit findings.
  • Review and strengthen finance processes, systems and controls to enhance efficiency and mitigate risk.
  • Liaise with overseas advisors, agents and auditors to ensure local and overseas statutory compliance.
  • Capital Expenditure, Asset Management & Hotel Openings
  • Review and evaluate capital expenditure proposals, investment business cases and asset enhancement projects.
  • Ensure compliance with approved capital approval processes and investment policies.
  • Monitor capital expenditure against approved budgets.
  • Support pre-opening hotels and ensure compliance with Hotel Management Agreements, local regulations, USALI requirements and brand standards.
  • Verify that pre-opening requirements are fulfilled, including permits, lice

Additional Information

Job Summary The Director of Finance is responsible for safeguarding the financial integrity, stability and performance of COMO Hotels and Resorts. The role ensures the accuracy and integrity of financial reporting, drives financial planning and analysis, strengthens internal controls, oversees treasury and cash flow management, and partners with hotel operations to improve profitability and business performance. Working closely with Property Financial Controllers/Director of Finance, General Managers and Corporate Leadership, the Director of Finance provides strategic financial guidance and operational support to achieve the Group's financial objectives. The position acts as a deputy to the Vice President Finance on key financial and operational matters, supports hotel openings and corporate initiatives, and drives finance process improvements to promote consistency, compliance and operational excellence across the Group.


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