Consolidation of the Group’s financial results on the quarterly and yearly basis.
Prepare cash flows projections/planning for the Group.
Ensure compliance with Financial Reporting Standards, Bursa requirement, company policies and related statutory/tax requirements
Review monthly management reports, verify all payment vouchers and journal vouchers.
Review bank reconciliation to ensure cash book records are properly reconciled to the bank statements.
Liaison with external parties i.e. auditors, tax agents, company secretary and banks.
Prepare Bursa Quarterly Reports, Annual Reports and prepare any other Group reporting as and when required.
Prepare yearly budget report and responsible for the budgeting process
REQUIREMENTS:
Candidate must possess at least Bachelor's Degree/ Professional Degree in Finance/ Accountancy/ Banking or equivalent.
MICPA / ACCA / MIA membership or equivalent
Minimum 10 years managerial experience in related field.
Strong analytical skill, attention to detail and accuracy.
Advanced computer skills on MS office, accounting software and databases.
Effective interpersonal and communication skills.
Able to work independently and flexible with good attitude.
Your application will include the following questions:
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