Prepare financial statements, management reports, and consolidation reporting in coordination with the Group Finance Team.
Prepare, monitor, and manage the full budgeting and forecasting cycle, including financial performance reporting and variance analysis to support management decision-making.
Strengthen governance, internal controls, and risk management frameworks to ensure compliance and safeguard company assets.
Manage costing activities, including standard costing maintenance, operational performance analysis, and financial insights to support decision-making.
Act as the key finance business partner to local and regional management teams, providing financial analysis, recommendations, and performance reporting.
...
Provides the appropriate level of professional, courteous and caring service to other employees (internal customers) and other visitors to the division.
Ensures all employees provide a courteous and professional service at all times.
Handles guest and employee enquiries in a courteous and efficient manner, reporting complaints or problems if no immediate solution can be found, whilst feeding back a prompt follow up.
...
Responsible for year-end closing and liaison with external auditors for quarterly and annual financial audit and liaising with MIDA on any requirements related to tax incentive.
Assist in determining continuing compliance with all relevant law and regulations.
Obtaining, maintaining and managing the complete financial reporting and recordings.
...
Cash Flow & Capital Management: Manage cash flow, investments, and capital allocation to optimize financial health.
Internal Controls & Audits: Establish and maintain internal controls to prevent financial fraud and enhance transparency.
Business Partnering: Collaborate with other executives to drive financial and operational strategies, ensuring alignment with overall company goals.
...