- Jalan Sarawak Bandar Kuala Lumpur WP Kuala Lumpur Malaysia 55100

Working Location
Job Description
Requirements
Bachelor's degree in Finance, Accounting, Economics, or a related field. A Master's degree or professional certification (e.g., CPA, ACCA) is a plus.
Minimum of 6 years of progressive experience in financial management, accounting, or a similar role, preferably within a consulting or professional services environment.
Proven expertise in Budget Management, including development, monitoring, and variance analysis.
Strong capabilities in Financial Planning and Analysis (FP&A), with the ability to develop financial models, forecasts, and long-term strategic plans.
Extensive experience in Financial Reporting, ensuring accuracy and compliance with relevant accounting principles (GAAP/IFRS).
Demonstrated proficiency in Cash Flow Management, optimizing liquidity and working capital.
Solid understanding of Auditing principles and practices, and experience working with external auditors.
Knowledge of Taxation regulations and compliance, with the ability to advise on tax implications.
Experience in Risk Management, identifying and mitigating financial risks.
Excellent Team Leadership skills, with the ability to manage and mentor a finance team.
Fluency in English and Mandarin is essential for communication with diverse stakeholders.
Ability to work onsite at Menara Ecoworld, Jalan Pudu, Pudu, 55100 Bandar Kuala Lumpur, Wilayah Persekutuan Kuala Lumpur, Malaysia.
Responsibilities
Oversee and manage all aspects of the company's financial operations, including accounting, financial planning and analysis, budgeting, and forecasting for BBS Trust Int'l Limited.
Develop and implement robust financial strategies that align with the company's overall business objectives, ensuring long-term financial health and growth.
Prepare accurate and timely financial reports, including monthly, quarterly, and annual statements, in compliance with GAAP/IFRS standards for senior management and stakeholders.
Lead and mentor the finance and accounting team, fostering a collaborative and high-performing environment, and ensuring professional development of staff.
Manage cash flow effectively, optimizing working capital, and ensuring sufficient liquidity to meet operational needs and strategic investments.
Conduct in-depth financial analysis to identify trends, risks, and opportunities, providing actionable insights and recommendations to drive business performance.
Oversee the budgeting process, working closely with department heads to develop realistic budgets and monitor performance against budget, implementing corrective actions as needed.
Ensure compliance with all relevant tax regulations and laws, managing tax planning and filings, and liaising with external tax advisors.
Develop and maintain strong internal controls to safeguard company assets and ensure the accuracy and integrity of financial data.
Collaborate with external auditors during annual audits, providing necessary documentation and explanations to ensure a smooth and efficient audit process.
Evaluate and manage financial risks, implementing strategies to mitigate potential financial exposures and ensure business continuity.
Support strategic financial planning initiatives, including mergers, acquisitions, and new business ventures, providing financial modeling and due diligence.
Benefits
Skills
LRT - MASJID JAMEK
0.5 km
LRT - PLAZA RAKYAT
0.7 km
LRT - DANG WANGI
0.8 km
MRL - BUKIT NANAS
0.8 km
MRT - MERDEKA
0.9 km
LRT - BANDARAYA
0.9 km
KTM - BANK NEGARA
1.0 km
MRL - MEDAN TUANKU
1.0 km
MRT - PASAR SENI
1.1 km
LRT - PASAR SENI
1.1 km
MRL - RAJA CHULAN
1.1 km
MRT - BUKIT BINTANG
1.2 km
MRL - BUKIT BINTANG
1.2 km
MRL - HANG TUAH
1.2 km
MRL - IMBI
1.3 km
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