Finance Manager

Infiniti Indah Sdn. Bhd.

Kuantan

On-site

MYR 120,000 - 180,000

Full time

5 days ago
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Job summary

Infiniti Indah Sdn. Bhd. is seeking a seasoned finance leader to manage the finance department, oversee financial reporting, and drive month-end closing processes.

The role requires overseeing AP/AR/GL, tax computations, budgeting, and periodic group reporting, with collaboration across levels and with auditors to ensure compliance and robust cash flow.

Qualifications

  • Bachelor's degree in Accounting or Finance; CPA preferred.
  • 5+ years of professional experience in accounting and auditing.
  • Proficient in Microsoft Excel and Microsoft Office.
  • Excellent interpersonal and cross-level communication skills.
  • Strong knowledge of general ledger accounting and reconciliations.
  • Detail-oriented with a focus on accuracy.

Responsibilities

  • Manage the finance department including financial reporting and month-end closing.
  • Oversee AP, AR, GL, and reconciliation reports.
  • Prepare monthly deferred tax and corporate tax computations and cash flow reports.
  • Supervise financial officers in reporting and budgeting.
  • Review financial reports and identify cost-saving opportunities.
  • Coordinate with auditors to ensure regulatory compliance.
  • Ensure cash flow supports operations.
  • Liaise with tax authorities, bankers, and legal representatives.
  • Support group reporting packages, annual budget, forecasts, and cash flow.
  • Review e-invoicing reports and timely submission.

Skills

Analytical thinking
Interpersonal skills
Excel
Financial reporting
Auditing experience

Education

Bachelor's degree in Accounting or Finance
CPA certification preferred

Tools

Dynamod

Job description

Manage the finance department including the full spectrum of financial reporting and month-end closing activities.

Key responsibilities

Manage and review all areas of Accounts Payable (AP), Accounts Receivable (AR), General Ledger (GL), and reconciliation reports

Prepare monthly deferred tax and corporate tax computations, as well as cash flow reports

Supervise financial officers preparing financial reporting and budgeting

Review company financial reports and seek ways to reduce costs

Work with auditors to ensure proper compliance with all regulations

Ensure cash flow is appropriate for the organization to manage their operations

Liaise with tax authorities, bankers, and legal representatives

Support the preparation of monthly and quarterly group reporting packages for headquarters, including the annual budget, forecast reports, and cash flow reports

Check and review e-invoicing reports and ensure timely submission in the system

About you

Bachelor's degree in Accounting or Finance or equivalent combination of education, training and experience

CPA certification preferred

More than 5 years of professional experience in accounting and auditing

Proficient in Microsoft Excel and other Microsoft Office Applications

Strong analytical and problem-solving abilities

Experience in using accounting software (Experience in Dynamod would be an added advantage)

Excellent interpersonal skills and ability to communicate effectively across all levels of an organization

Thorough knowledge of general ledger accounting and account reconciliation processes

Highly detail-oriented, with a strong focus on accuracy and precision

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