Job description for Finance & Treasury Manager at Lake Vale Capital Pte. Ltd
Scope of work:
Financial Reporting and Accounting
Maintain books and records for the SFO, IHC, and related entities
Coordinate periodical audits with external auditors
Manage corporate tax for the SFO, IHC and related entities (supported by external tax advisors)
Manage annual maintenance filings, returns, and associated expenses for the SFO, IHC and related entities (supported by company secretary / registered agents)
Maintain transfer pricing documentation for the IMA between SFO and IHC
Capital and Portfolio Management
Track portfolio performance and produce regular AUM reports
Reconcile capital account statements against internal books
Manage capital calls and distribution receipts across all portfolios
Monitor liquidity and Maintain real-time view of cash balances, capital commitments, and unfunded obligations
Handle related administrative tasks
Maintain and organise subscription documents for all fund investments
Coordinate KYC packs and investor questionnaires
Manage W-8BEN-E, CRS self-certifications, and FATCA forms across accounts and fund relationships
Collect, organise, and forward K-1 forms and annual tax packs to external tax advisors
Banking and Treasury Operations
Manage SFO and IHC banking relationships with banks and custodians
Oversee account maintenance: signatory updates, account openings/closures, KYC requirements
Execute transfers, payments, and redemption transactions per approved authorisation matrices
Monitor cash management across multiple currencies and jurisdictions
Office Operations and Internal Finance
Handle internal SFO expenses: vendor fees, lease, payroll, CPF, reimbursements, operating expenses
Support vendor management and contract administration
Assist with budgeting, forecasting, and management reporting to the GC/COO
Compliance and Regulatory
Maintain AML/CFT records and support Singapore regulatory compliance for the SFO
Coordinate CRS and FATCA reporting obligations if any
Manage D&O and professional indemnity insurance renewals for the SFO
Requirements:
3–5 years in finance, accounting, fund administration, or operations — ideally at a family office, fund administrator, fund manager, private bank, or financial-services-focused audit firm.
Exposure to investment operations, fund accounting, or portfolio reporting an advantage; familiarity with Singapore tax/regulatory basics (ACRA, corporate tax/GST, AML/CFT) and FATCA/CRS a plus.
Degree in finance or accounting; part- or fully-qualified CA / CPA / ACCA welcome.
Above all: reliable, meticulous, discreet, and trustworthy, with the steadiness to own a function and the judgment to escalate and draw on external advisors when matters become complex.
