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Senior Manager/ Manager, Finance (AP) (Treasury)

Job Descriptions

  • Development and implementation of internal controls, process management and improvement, policy and procedures for the group.
  • Handled group consolidation of accounts and statistic compilation.
  • Assist in continuous improvement in operation systems to increase efficiency in order to achieve company’s objectives in cost saving and fully utilization of resources capacity.
  • Give guidance to subordinate to ensure competency in their task and to carry out their duties in an effective and efficient manner.
  • Liaise closely with business team to monitor the sale and deliver process, to ensure proper deliver and documentation of project for the payment, sale invoicing and collection purpose.
  • Produce financial reports and analysis to monitor budget variances, to produce budget baseline and monitor the execution of the predetermined financial KPIs.
  • Provide decision support by performing financial modeling and analysis.
  • Manage external audits, tax reporting and submission of government returns.
  • Participle in business planning process and responsible for the group budget, cash flow projection, monthly management reporting and analysis.
  • Statutory reporting, including preparations of quarterly consolidation and group audited accounts and annual report.
  • Treasury and fund raising to ensure adequate capital are available to meet current and future needs in relationship to funding of working capital & investment.
  • Tax effective management through planning, researching, executing, and defending all federal, state, local and foreign taxes that are applicable.
  • Development of corporate growth by providing advice and counsel to the Company’s key executives on the financial impact of their strategic and tactical decision.
  • Conserving and facilitating the growth of Company’s financial and capital resources through the development and implementation of sound financial, accounting and management information systems and procedures.
  • Evaluation of financial operational data and information to facilitate sound and timely managerial decisions and controls.
  • Budgetary planning, controlling, and monitoring to meet performance target.
  • Design internal reporting systems as required.

Job Requirements

  • Qualification in Degree in Finance/ Accountancy / Banking or equivalent.
  • Minimum 8 years’ experience in the related scope.
  • Proven experience in managerial roles and supervising of team member.
  • Experience in retail industry is added advantage.
  • Good communication and writing skill in English and Bahasa Malaysia.
  • Candidate must be willing to work in Kelana Jaya.

Benefits

  • Health insurance
  • Dental insurance
  • Staff discount
  • Transparent bonus and increment
  • Flexible schedule
  • Opportunities for promotion
  • Professional development

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