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We are seeking a hands-on and proactive Finance Manager to oversee finance and accounting functions while supporting corporate reporting, group consolidation, and project financing activities within the Group. This role requires close coordination with regional offices and headquarters in a fast-paced working environment.
Key Responsibilities
Finance & Accounting Operations
- Oversee daily finance and accounting operations, ensuring accuracy, timeliness, and compliance with company policies and statutory requirements
- Hands-on and guide the team in planning, organizing, and monitoring finance functions
- Prepare management reports, financial statements, cash flow projections, budgets, and variance analysis
- Support project P&L analysis and other financial reports required by management
Group Reporting & Consolidation
- Support Group financial consolidation and preparation of consolidated financial statements
- Review subsidiaries’ financial reports to ensure accuracy and timely submission
- Manage and support project financing matters, including coordination with bankers and internal stakeholders
- Prepare and review financing documentation, cash flow projections, and financing applications
- Monitor project financing schedules, terms, and related documentation
Treasury & Intercompany
- Monitor Group cash flow, intercompany transactions, and AR/AP balances
- Ensure proper reconciliation and management of intercompany accounts
Compliance & Audit
- Coordinate tax compliance matters, including tax estimation and computation
- Support statutory audits and ensure timely submission of audit schedules and regulatory filings
- Ensure compliance with accounting standards, company policies, and statutory regulations
Stakeholder Management
- Liaise with auditors, tax agents, bankers, solicitors, and relevant authorities
- Communicate effectively with regional offices and overseas HQ
Others
- Undertake ad hoc assignments and other duties as assigned by management
Requirements
- Bachelor’s Degree in Accounting, Finance, or a professional qualification (ACCA, CIMA, CPA or equivalent)
- Minimum 5 years of relevant experience in finance/accounting, preferably in group reporting or a multi-entity environment
- Candidates with less experience or strong learning attitude may be considered for junior roles
Technical Skills
- Strong understanding of financial reporting, budgeting, cash flow management, and statutory compliance
- Experience in group consolidation, project financing, audit, or corporate finance is an added advantage
- Proficient in Microsoft Excel and accounting/ERP systems (e.g., SQL, IFCA, Oracle, SAP)
Soft Skills
- Good command of English and/or Mandarin (spoken and written), with confidence communicating with regional offices and HQ
- Strong communication, interpersonal, and coordination skills
- Hands-on, proactive, adaptable, and able to work independently in a fast-paced environment
- A team player with a positive attitude and willingness to learn