Preparation and finalization of annual financial statements, monthly and quarterly management accounts, monthly cash flow forecast and annual estimates for discussion with local and HQ Management.Analyze financial data to identify trends, variances and opportunities for improvement.Develop and maintain budgets in collaboration with various departments (e.g, sales, operations)Monitor expenditures and revenues to ensure alignment with budgeted figuresOversee the timely and accurate processing of payment to vendors and suppliers.Manage daily cash flow to ensure adequate liquidity for operationsPrepare cash flow forecasts and advise on investment opportunities for surplus fundsEnsure the financial statements is compliance with Malaysia tax law (corporate tax, service tax, tourism tax, etc.)Stay updated with changes in accounting standards and regulatory requirementsOversee procurement processes to ensure financial prudence in purchasing supplies and servicesCollaborate with the revenue management team to maximize room revenue through pricing strategiesAnalyze data from occupancy rates, pricing models and market conditions to inform decision-making.Provide financial insights to support long-term strategic planning for hotel growth and expansionWork with management on investment appraisals and capital projectsAnalyze hotel operational costs and work with other departments to implement cost -saving measures. Bachelor’s degree in Finance, Accounting or related field, MBA or ACCA preferredMinimum of 8-10 years of progressive experience in finance, with at least 3 years in managerial position (preferableStrong understanding of accounting principles, financial regulations and compliance requirementProficiency in English, Bahasa Malaysia and Mandarin in advantageousDiscretion in handling sensitive information and maintaining confidentialityStrong Microsoft Office skills (Word, Excel & PowerPoint), experience on accounting software and hotel-specific property management system is a plus. Professional Development: