A
- Experience
- 8+ yrs
- Salary
- —
- Openings
- 1
- Posted
- 5 hours ago
- Work mode
- In office
- Education
- Bachelor's degree
- Resume
- Required to apply
Where you'll work
Job description
Role Overview
We are seeking a detail-oriented Head of Controlling to lead our regional financial operations based in Singapore, covering SG&A controlling, Free Cash Flow (FCF) reporting, and financial consolidation for our three brands: foodora, foodpanda, and Yemeksepeti.
Key Responsibilities
- Lead and oversee the SG&A controlling team focused on end-to-end management of both personnel and non-personnel expenses, identifying cost patterns, risks, and improvement opportunities.
- Manage and mentor two primary direct reports: the Senior Manager responsible for SG&A and a specialist in Consolidation and Free Cash Flow reporting.
- Supervise the technical consolidation process of brand financials in line with Group policies, including the development and implementation of heatmaps to deliver accurate management figures.
- Drive excellence in Free Cash Flow reporting, ensuring precision and building advanced dashboards for local, regional, and executive use.
- Collaborate closely with Regional Finance leadership, Country Leaders, and People & Culture teams to align workforce planning and personnel cost strategies with the company’s growth objectives.
- Standardize financial policies such as full-time equivalent (FTE) monitoring and intercompany invoicing to ensure consistent application across the region.
- Provide strategic financial insights through the construction of complex financial models to support executive decision-making.
- Champion the modernization of financial infrastructure by automating processes and creating scalable, transparent reporting dashboards that reduce manual effort.
Qualifications and Experience
- Possess a Bachelor's degree in Accounting, Finance, Business Administration, or a related discipline.
- Hold at least 8 years of experience in controlling or financial planning and analysis (FP&A), with demonstrated leadership in managing teams.
- Background in fast-evolving sectors such as technology, e-commerce, or logistics, with the ability to adapt to a high-growth environment.
- Proficient in communicating complex financial information clearly and persuasively to senior management, capable of influencing decisions.
- Experienced in collaborating with varied regional teams and functions, regarded as a trusted strategic business partner.
- Advanced expertise in Excel; familiarity with OneStream or Anaplan is highly advantageous.
- Specialized knowledge in SG&A controlling, financial consolidation or Free Cash Flow reporting is preferred.
- Strong enthusiasm for AI and innovation with a commitment to improving finance processes through automation technologies.
Skills
Work styles they’re looking for
Effective Communication
Leadership
Collaboration
analytical mindset