D6-3A-13A, Level 3A, Pusat Perdagangan D6, Jalan Sentul, Sentul WP Kuala Lumpur Malaysia 51000
x2_onboarding.experience.fields.job_description.title Kelayakan Degree/Diploma/Certification in Finance, Accounting, or a related discipline; professional qualification (ACCA, CPA, CIMA, or equivalent) is preferred Minimum 6 - 10 years of relevant working experience, with proven experience in a similar role within a consultancy, professional services, or project-based organization Strong hands-on experience in full set of accounts, management reporting, budgeting, forecasting, and cash flow management Solid understanding of Malaysian statutory, tax, and regulatory requirements, including audit and compliance matters Experience managing group accounts, multiple entities, or associated companies will be an added advantage Proficient in accounting systems (e.g. MYOB or similar) and financial data management tools Advanced proficiency in Microsoft Office applications, especially Excel; working knowledge of SQL is an advantage Demonstrated ability to lead and manage a finance team with strong internal control awareness Strong analytical, problem-solving, and decision-making skills with high attention to detail Ability to work independently, meet tight deadlines, and communicate effectively with senior management and external stakeholders High level of integrity, professionalism, and confidentiality Fluency in Mandarin and English is preferred. Tanggungjawab Oversee the full spectrum of finance and accounting functions for the Group, including head office and associated companies Proficient in using SQL, MYOB, and Microsoft Office applications, with strong emphasis on advanced Excel skills Prepare and review monthly, quarterly, and annual management accounts and financial reports in a timely and accurate manner Lead budgeting, forecasting, and cash flow planning to support business operations and project requirements Monitor and analyze financial performance, variances, and trends; provide meaningful insights and recommendations to management Manage cash flow, banking facilities, and treasury matters, including payments, collections, and fund utilization Oversee project-based financial tracking, including fee billing, work-in-progress (WIP), revenue recognition, and cost control for architectural projects Ensure compliance with statutory and regulatory requirements, including Companies Act, tax regulations, SST (if applicable), and audit requirements Liaise with external auditors, tax agents, bankers, company secretaries, and relevant authorities Supervise and mentor the finance and accounts team, ensuring proper internal controls and segregation of duties Establish, review, and improve financial policies, procedures, and internal control systems Review contracts, consultancy agreements, and payment terms from a financial and risk perspective Manage fixed assets, capital expenditure, and asset registers for the Group Support directors and senior management with financial analysis for strategic planning, expansion, and investment decisions Handle ad-hoc financial assignments and management reports as required by the Directors Manfaat