Finance Assistant Manager — Property Development & FP&A

Sime Darby Property

Petaling Jaya

On-site

MYR 120,000 - 180,000

Full time

20 hours ago
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Job summary

Sime Darby Property Malaysia seeks an experienced finance professional to support financial reporting, budgeting, taxation and internal controls for assigned entities, delivering timely insights to guide management decisions.

Responsibilities include preparing monthly, quarterly and yearly management accounts, group submissions, reconciliations, and responding to financial queries from departments to ensure timely, high-quality reporting.

Qualifications

  • Degree in Accounting or equivalent, preferably with professional membership.
  • Must have property development industry experience (4–6 years).
  • Proficient in Microsoft Office, especially Excel and Word.
  • Experience with ERP platforms like IFCA and BPC.

Responsibilities

  • Responsible for preparing monthly, quarterly and yearly management accounts, Group submissions and financial statements, ensuring quality and accurate management financial reports are produced within the stipulated timelines.
  • Prepare/Review monthly reconciliations including timely clearance of reconciling items and general accounting processes
  • Attend to financial queries from other departments for assigned township
  • Participate in township meetings to update on the latest developments and provide financial input to enhance the feasibility of the product
  • Review budget costing for ongoing and completed phases - to identify and accrue cost overrun or adjust for any cost saving

Skills

Excel
Analytical skills
Teamwork
Communication
MS Word

Education

Degree in Accounting or equivalent

Tools

IFCA
BPC

Job description

Sime Darby Property Malaysia seeks an experienced finance professional to support financial reporting, budgeting, taxation and internal controls for assigned entities, delivering timely insights to guide management decisions.

Responsibilities include preparing monthly, quarterly and yearly management accounts, group submissions, reconciliations, and responding to financial queries from departments to ensure timely, high-quality reporting.

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