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World Class Land (Georgetown) Holdings Sdn. Bhd. (WCL) is seeking an experienced finance professional to contribute to group reporting, consolidation, SGX-related compliance, and regional finance operations from Georgetown Penang.
In this sole contributor role you will prepare monthly, quarterly, and annual group statements, perform intercompany reconciliations, support audits, and liaise with auditors, tax advisors, bankers, and company secretaries on regulatory reporting.
Are you an experienced finance professional looking to gain exposure in Group Reporting, Consolidation, SGX-related compliance, and regional finance operations?
This role offers the opportunity to work on Group-level financial reporting for multiple entities, supporting offshore and regional finance activities while being based in Georgetown Penang. You will work closely with senior management, auditors, tax consultants, bankers, and corporate secretaries on key reporting and compliance matters.
Please note that this is a hands-on Individual Contributor (Sole Contributor) role with no direct people management responsibilities.
World Class Land (Georgetown) Holdings Sdn. Bhd. (WCL) is part of a regional property and hospitality group with business interests in property development, investment, and hotel operations. Based in Penang, WCL manages a portfolio of development and investment entities while supporting regional business operations across Malaysia and Singapore.
As part of our continued growth, we are looking for talented professionals to join our finance team and contribute to Group reporting, financial consolidation, and corporate compliance activities.
What You'll Be Doing
Prepare monthly, quarterly, and annual Group consolidated financial statements.
Perform intercompany reconciliations, elimination entries, and consolidation adjustments.
Analyse financial results and provide reporting insights to management.
Maintain consolidation schedules and reporting templates.
Handle full sets of accounts for assigned investment holding entities.
Manage month-end and year-end closing activities.
Prepare management accounts and supporting analyses.
Prepare cash flow forecasts and funding plans.
Monitor cash positions and support treasury-related activities.
Coordinate annual audits and statutory reporting requirements.
Support XBRL filing and regulatory submissions.
Assist in SGX reporting and compliance-related activities.
Liaise with auditors, tax agents, bankers, lawyers, and company secretaries.
What can I earn as an Assistant Finance Manager