Candidate must possess at least a Bachelor\'s Degree in Accounting or at best professional qualification MIA / ACCA / PA.
At least 5 year(s) of relevant experience or at least 2 years of managerial experience.
Experience in the audit of listed companies / involved in group reporting of listed company
Excellence knowledge and proven experience in financial reporting, forecasting, budgeting, financial management and accounting principles and procedures.
Ability to use financial data to influence decision making
Ability to work in proactive and reliable manner, both independently and as a team.
Advanced experience in use of accounting and financial systems and Microsoft Office applications such as Microsoft Office, Excel (Advanced level). Power Point and etc.
Ability to work under fast-paced environment with time constraint, while maintaining high standard of accuracy and efficient process.
Good verbal and written communication skills with the ability to develop reports or written documents, briefing, negotiate with external stakeholders and etc.
Good interpersonal skills and able to engage with staffs from other functional departments including marketing, procurement and etc.
Strong analytical and problem-solving skills with the ability to translate complex financial data into actionable insights.
Excellent in written and spoken English.
Responsibilities
Responsible in Group financial reporting including consolidation, Bursa Announcement reports, and financial statements.
Responsible for the supervision of timely financial closing of subsidiaries and perform financial analysis on the variances.
Manages and oversees all aspects of accounting and finance of the business in accordance to the Company\'s policies and procedures, and relevant standards, laws and regulations.
Liaises with external stakeholders to ensure proper compliance with statutory law and regulations.
Prepare comprehensive financial reports and presentations for senior management, ensuring clear and concise communication of key financial metrics.
Manages corporate communication channels and prepares documentation related to bank or financial institutions.
Manages and oversees cash flow by tracking transactions undertaken by the Company and reviews internal reports, and subsequently provide cash flow forecast to the Management.
Develops and prepares strategic financial plans, i.e. risk minimisation and opportunity forecasting to management for decision making.
Prepares periodic financial performance (against budgets) reports to the Senior Management.
Work closely with the management team to presents business cases and analysis findings.
Delivers insightful analysis and recommendations, as necessary.
Liaise with auditors, tax agents or other parties including regulatory bodies on accounting or financing matters.
To assist in any ad-hoc projects as assigned.
Benefits
Annual Leave/Sick Leave/Hospitalisation Leave
Group Insurance
Outpatient Claim
Statutory Contribution
Performance Bonus
Annual Salary Review
Fun & Engaging Culture
Performance Recognition Environment
Additional Benefits
Annual Leave
Medical and Hospitalisation Leave
EPF / SOCSO / PCB
Medical Insurance
Training Provided
Performance Bonus
Company Trip
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