Finance Manager (Kuantan)

IOG SALES & MARKETING (M) SDN. BHD.

Kuantan

On-site

MYR 96,000 - 130,000

Full time

46 hours ago
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Job summary

IOG SALES & MARKETING (M) SDN. BHD. is seeking a seasoned finance professional to manage budgeting, cash flow forecasting, and financial reporting within a logistics-oriented setting. You will lead the accounts and finance team to ensure timely, accurate statements and compliance.

The role requires strong treasury, taxation, and ERP experience (SAP/AutoCount), with excellent communication and leadership to drive cost control and strategic planning. Immediate start preferred.

Qualifications

  • Bachelor's degree in Accounting or a professional qualification in Accountancy / Finance is required.
  • At least 3 years of related working experience in logistics industry and/or audit firms beneficial.
  • Knowledge of cash management principles.
  • Strong knowledge of Treasury, banking systems and processes.
  • Proficiency with Microsoft Office, AutoCount, and SAP systems.
  • Knowledge of taxation and consolidated financial statements.
  • Meticulous with strong analytical mind; able to work under pressure to meet deadlines.
  • Excellent communication, people management and interpersonal skills.
  • Demonstrate integrity and initiative.
  • Willing to start immediately; able to work Saturdays.

Responsibilities

  • Prepare and manage budget & cash flow forecasts including financial analysis to control cost and improve overall financial performance.
  • Responsible for full set of accounts, management reports, accounts payable, credit control and cash flows within tight deadlines.
  • Assist in preparation of Consolidated group accounts, management accounts / board reporting.
  • Perform financial analysis and review annual budgets and forecasting processes.
  • Liaison with government authorities for approval, compliance, auditors, tax agents, and bankers.
  • Manage operation expenses to ensure all expenses within approved budget.
  • Prepare cash fund forecast and assist treasury banking work; monitor cash flow requirements.
  • Overseeing tax and other regulatory compliance records.
  • Assist dept. head in driving operation and implementation of key strategies.
  • Assist superior to supervise the accounts & finance team for day-to-day accounting & finance operations.
  • Any ad hoc assignment by Head Of Department and management.

Skills

Budgeting & Forecasting
Cash flow management
Financial reporting
Accounts payable / treasury
Team leadership
Tax compliance
ERP systems (SAP/AutoCount)
MS Office
Languages (English, Bahasa Malaysia, &

Education

Bachelor's Degree in Accounting
Professional qualification in Accountancy/Finance (LCCI, ACCA, CIMA, CPA, MIA or equivalent)

Tools

Microsoft Office
AutoCount
SAP system

Job description

RESPONSIBILITIES
  • Prepare and manage budget & cash flow forecasts including financial analysis to control cost and improve overall financial performance.
  • Responsible for full set of accounts, management reports, accounts payable, credit control and cash flows within the tight deadline assigned.
  • Assist into preparation of Consolidate group accounts, management account / report to board of director review and reporting.
  • Perform financial analysis and review annual budgets and perform analysis in the budgeting and forecasting processes.
  • Liaison with the relevant government authorities for approval and compliance, external auditors / tax agents / banker.
  • Manage operation expenses to ensure all expenses within approved budget.
  • Prepare cash fund forecast, assists into treasury banking work and monitor cash flow requirements.
  • Overseeing tax and other regulatory compliance records.
  • Assist dept. head in driving the operation, that is, be the prime mover in ensuring that key strategies are implemented and realized.
  • Assist immediate superior to supervise the accounts & finance team to ensure the day-to-day operation of overall accounting & financial activities.
  • Any ad hoc assignment assigned by the Head Of Department and the management.
QUALIFICATIONS
  • Candidate must possess at least a Bachelor's Degree in Accounting or a Professional Qualification in Accountancy / Finance ( LCCI,ACCA CIMA,CPA,MIA or equivalent)
  • At least 3 years of related working experience in logistics industry and/or audit firms will be an advantage
  • Knowledge of cash management principles
  • Strong knowledge of Treasury, banking systems and processes
  • Required Skill (s): Microsoft office, Auto Count, SAP system
  • Knowledge of taxation and consolidated financial statements
  • Meticulous with a strong analytical mind, coupled with an ability to work under pressure to meet tight deadlines.
  • Excellent communication, people management and interpersonal skills
  • Demonstrate a high degree of integrity and initiative.
  • Good personality and positive working attitudes, responsible, self-discipline and dedicate to work.
  • Required Language: English, Bahasa Malaysia and Mandarin (Added advantage)
  • Able to start immediately or within short notice.
  • Able to work full on Saturday.
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