Understand business requirements, drive analysis, support and assess gaps, impacts and requirements on application/solution supported.
Manage project and solution deliveries in alignment with business requirements. Explore and implement enterprise-wide technology enablement in accordance with business strategy and the latest technologies.
Lead and manage the implementation of solutions in meeting user’s requirements and objectives.
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Support or lead the financial aspect of Strategic Projects, ad-hoc projects and assignments within SP&BD MYSGBN.
Deal Valuation
Perform deal valuation on new business opportunity and contract renewal and ensure business partners understand the financial aspects of the deal (e.g. risk, opportunity, viability of the deal) to be able to make the business decision
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Liaise proactively with external auditors, tax agents, regulators, and internal stakeholders to facilitate smooth audits and maintain strong working relationships across all parties involved.
Ensure ongoing compliance with statutory requirements, up-to-date accounting standards, and rigorous internal controls to safeguard the integrity of financial data.
Drive continuous process improvements by identifying opportunities to enhance efficiency in financial reporting systems and procedures.
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To monitor, update and review daily cash-flow, collections, and payment activities to ensure adequate liquidity and efficient working capital management.
To ensure the financial transactions are properly recorded and maintained in accordance with the reporting standards and statutory regulations.
Liaise with auditors, tax agents, bankers, legal advisors, regulatory authorities, and other professional parties on financial, taxation, financing, and compliance matters.
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To monitor, update and review daily cash-flow, collections, and payment activities to ensure adequate liquidity and efficient working capital management.
To ensure the financial transactions are properly recorded and maintained in accordance with the reporting standards and statutory regulations.
Liaise with auditors, tax agents, bankers, legal advisors, regulatory authorities, and other professional parties on financial, taxation, financing, and compliance matters.
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To manage the annual budgeting, forecasting, financial planning, and feasibility study processes to support business growth and strategic decision making.
To monitor short-term and medium-term cash flow forecasting, collections, and payment processes, ensuring adequate liquidity and effective working capital management across the Group.
Oversee bank accounts across all subsidiaries, including opening, closing, and ongoing maintenance.
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The Finance Manager Asia is a key member of the regional Finance team, based in Malaysia and responsible for financial management across multiple Asian markets. The role combines solid operational finance with a strong international mindset, ensuring accurate reporting, compliance, and financial control across the region while actively engaging with global Finance stakeholders.
• Manage general ledger activities, journal entries, and account reconciliations to ensure accuracy and completeness.
• Supervise the Accounts Payable function, review payment proposals, ensure timely and accurate disbursements, and guide the team in resolving discrepancies.
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