- Jalan 52/18 Petaling Jaya Selangor Malaysia 46050
Working Location
Job Description
Requirements
Degree in Finance, Accounting, or a related field.
Professional certification (e.g., ACCA, CPA) or equivalent is an advantage.
Minimum 5 to 10 years of relevant experience in accounting/finance in Malaysia.
Strong knowledge of Malaysia tax laws, financial and corporate regulations, and statutory reporting requirements.
Hands-on experience in FP&A, audit coordination, credit control, and financial control implementation.
Proficient in Excel and financial modelling; familiarity with NetSuite systems is a plus.
Strong analytical and problem-solving skills with high attention to detail.
Excellent organisational skills and ability to meet deadlines in a fast-paced environment.
Excellent communication, stakeholder management, and presentation abilities.
Responsibilities
Financial Planning & Analysis (FP&A)
Lead the annual budgeting and monthly/quarterly reforecasting processes.
Conduct variance analysis to identify significant deviations from budget and provide actionable insights to department heads and executive leadership.
Analyze costs, pricing, fixed/variable contributions, and margin performance to identify opportunities for profit optimization and cost reduction.
Global Reporting & Compliance
Oversee day-to-day financial operations including accounts payable, accounts receivable, and general ledger maintenance, ensuring timely and accurate transactions.
Oversee the preparation of accurate and timely monthly, quarterly, and annual financial statements (P&L, Balance Sheet, Cash Flow).
HQ Reporting: Prepare and submit complete, accurate, and consolidated financial reports (P&L, Balance Sheet, Cash Flow, and required analysis) to Singapore Headquarters within strict monthly and quarterly deadlines.
Accounting Standards: Ensure all reporting complies with the Group’s accounting standards (e.g., IFRS/GAAP) and corporate policies, bridging local accounting requirements with HQ standards.
Timeliness: Coordinate the month-end closing process to ensure financial data is finalized and submitted to HQ according to the global corporate calendar.
Coordinate and manage external audits, serving as the primary liaison with auditors and tax advisors.
Develop, implement, and maintain robust internal financial controls and documented policies to safeguard company assets.
Treasury & Cash Management
Monitor daily cash flow and optimize working capital management.
Prepare accurate cash flow forecasts to ensure adequate liquidity.
Leadership & Strategic Partnership
Manage, mentor, and develop the finance team to ensure high-quality work output and adherence to deadlines.
Provide financial insights and data-driven recommendations to support operational and strategic decision-making across all business units.
Present key financial reports, performance metrics, and strategic plans to the executive team and management.
Benefits
Skills
TAMAN JAYA
0.3 km
ASIA JAYA
1.1 km
UNIVERSITI
2.0 km
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