- Jalan Teknologi Petaling Jaya Selangor Malaysia 47810

Company Highlights
工作地点
职位描述
任职资格
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.
岗位职责
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 the 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.
好处
所需技能
TAMAN JAYA
0.3 km
ASIA JAYA
1.1 km
UNIVERSITI
2.0 km
重要安全守则
申请工作时,切勿提供您的银行或信用卡详细资料。不要转账或完成无关的在线调查问卷。如果您发现可疑内容,请举报此招聘广告。