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Job Description:
- Review and analyses management financial statement and cash management on a monthly and yearly basis. (Including drawing budgets, income statements, balance sheet, as well as tax returns and other reports that regulatory authorities require.)
- Ensure timely and accurate update of financial and management reporting by monitoring and managing KPI tracking.
- Complies with tax filing requirements by studying regulations; adhering to requirements; advising management on required actions; reviewing quarterly estimated tax payments; assessing data for quarterly and annual tax filings.
- Ensure overall governance compliances including relevant to legal and accounting standards. Also, adhere to company policies and procedures.
- Provides financial advice by studying operational issues, applying financial principles and practices, developing recommendations.
- Monitor, control and reporting system over financial assets and results to the benefits of company.
- Monitor cash flow and oversee financial transactions within the company to prevent discrepancies.
- Analyze variances report, close the gap to reduce the company’s risk. Communications of issues and opportunities to management.
- Monitoring budget and expenses to ensure compliance with the company policies.
- Analyze internal and external data to maximize business creation while also managing margin targets. Evaluate relevant programs and benchmarks and recommend potential structures for pricing and programs.
- Ensuring the integrity of analyses through rigorous attention to detail and the validation of data, including the adherence to all regulatory, privacy, compliance, and security procedures.
- Meeting and maintaining close communication with business partners and stakeholders to understand their requests and translate them into deliverables, providing updates on projects, and answering business partners queries.
- Preparing and delivering thoughtful and impactful presentations to business partners.
- Support review of all operation process and implement continuous process improvements for high efficiency.
- Act as the point of contact and support managing all remediation with external auditor, bankers, company secretarial, tax agents and other statutory authorities.
- Work closely with other departments and provide professional expertise advice on financial related matters.
- Assist in month-end and year-end closing.
- Any other duties and responsibilities as and when assigned by immediate reporting and management.
Job Requirement:
- Degree in Accounting/Finance or Professional Qualification in Accounting i.e. ACCA, CPA, CIMA etc.
- At least 10 years of working experience in accounting and financial.
- Experience in system implementation and system improvement. Familiar with ERP system.
- Reporting skills with highest standards of accuracy and deliver on time
- Organised, result oriented and able to deliver on deadline with excellent time management skills.
Job Types: Full-time, Permanent
Pay: RM11,000.00 - RM12,000.00 per month
Benefits:
- Dental insurance
- Health insurance
- Maternity leave
- Meal allowance
- Opportunities for promotion
- Parental leave
- Professional development
- Vision insurance
Schedule:
- Fixed shift
- Monday to Friday
- Rotational shift
Supplemental Pay:
- 13th month salary
- Performance bonus
Education:
- Bachelor's (Preferred)
Language:
- Mandarin (Preferred)
Location:
- Lunas (Preferred)
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