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Executive Vice President, Group Budget & Treasury

Salary undisclosed

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JOB PURPOSE

Oversees all financial transactions and fundraising efforts going in or out of Prasarana Group’s account. The primary duties include budget planning, financial reporting, record-keeping, and managing incoming and outgoing funds.

KEY ACCOUNTANBILITIES

  • Manage all aspects of corporate/ financial/ accounting functions inclusive of financial planning, budgetary controls, treasury management, tax planning, forecasting, etc.
  • Ensure compliance with statutory requirements including audits, tax matters, and any other corporate governance.
  • Oversee and participate in feasibility studies and due diligence on potential investment and development projects, acquisition of new land bank, organization budget, and determining cost-effectiveness of respective development projects and its execution to advise on the investment impact to the group cash and profit position.
  • Source for project funding, evaluate and apply for financing and loan instruments.
  • Oversee cash flow projections of the company to control payment and collection schedule for individual property development projects to achieve efficiency in the cash management system.
  • Establish operational budgets and manage company cash flow to ensure the budgeted goals are achieved and cost objectives are met.
  • Manage and review audited accounts and ensure all audit findings points are promptly resolved.
  • Lead the periodical review on property development and construction budget with project teams to evaluate the reasonableness of financial results.
  • Perform ad hoc projects, analysis, and forecasting related to accounts activity.

QUALIFICATIONS, SKILLS, COMPETENCIES & KNOWLEDGE

  • Bachelor's Degree in Business/ Finance / Accounting / Investment / Economics/ Actuarial with minimum 10 years of work experience in a related field