Manage and oversee a full spectrum of finance functions, including group finance, credit control, treasury, accounts, budgeting/forecasting, taxation, insurance, legal, company secretarial management.
Quarterly announcement and reporting to Bursa Malaysia.
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Establish and maintain an organised document control system for projects.
Register, file, track, distribute, and archive project documents in accordance with company and project requirements.
Maintain accurate document registers, including drawings, specifications, submissions, approvals, correspondence, reports, and other project records.
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To manage tankers loading operations including communication with customers/drivers on lifting orders and timing, at PDI gantry for HRC products through interfacing with loading programs (SAP, OMEGA system and etc).
To monitor and provide technical assistance during escalation process when loading operations are disrupted.
To support PDI team in case of loading system malfunction and support to response to abnormal situation and emergencies.
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To manage tankers loading operations including communication with customers/drivers on lifting orders and timing, at PDI gantry for HRC products through interfacing with loading programs (SAP, OMEGA system and etc).
To monitor and provide technical assistance during escalation process when loading operations are disrupted.
To support PDI team in case of loading system malfunction and support to response to abnormal situation and emergencies.
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Support the settlement of construction disputes/loss and expense claims with transparency
Resolve any commercial, change orders and contract issues quickly and fairly
Assist in the preparation and agreement of final accounts, including the handling of any claims to ensure the client gets best value from works undertaken
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Manage full pre‑ and post‑contract cost management activities for semiconductor projects, including estimating, rate analysis, and preparation of final cost plans.
Lead tendering and procurement processes—managing pre‑qualification, tender lists, tender analysis, reports, and contract documentation.
Support change control and resolve post‑contract cost variances across cleanroom construction, tool‑installation packages, and facility upgrades.
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Support the settlement of construction disputes/loss and expense claims with transparency
Resolve any commercial, change orders and contract issues quickly and fairly
Assist in the preparation and agreement of final accounts, including the handling of any claims to ensure the client gets best value from works undertaken
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