Key Accountabilities, Responsibilities and Duties
- Lead analysis of the Group’s financial performance and variances for monthly, quarterly and budget reports
- Diligent management of Collections and Payments with the related departments and team.
- Ensure transactions are properly accounted for in accordance with the accounting standards
- Liaise with external auditors, statutory bodies, company secretarial, bankers, and other consultants for audit/ tax/ secretarial/ insurance/ outsourced services/ vendors and banking matters.
- Creative problem-solving mindset, and ability to challenge, coach and motivate colleagues.
- Implementation of internal control procedures, developing financial management mechanism that minimize risk.
Scope:
- To meet timeline set
- To ensure accuracy, compliance and completeness of accounting data and supporting documents
Job Purpose:
- Lead the Financial Reporting, Analysis, Treasury and Cash Management
Job Competence Profile:
- Possess good communication skills and good command of English, Malay and Chinese
- Possess a strong sense of responsibility and interpersonal skills.
- Experience in managing and supervising team members
Critical Success Factors:
- Monitor time efficiency & effectiveness
- Continuous improvement
- Ability to work under pressure and independently
Person Specification:
- Minimum 10 years of managerial roles in finance/accounting department, experience in PLC and audit firms will be an added advantage
- Minimum Degree in Accounting or Professional Certificate or equivalent with MIA member
- Well versed in Microsoft Excel, Words & PowerPoint and preferably with experience in IFCA Accounting System