MANAGER, CASH, PROJECT MANAGEMENT & CORPORATE FINANCE
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Cash Management - Supervise all aspects of cash flow management to ensure sufficient liquidity for operational and strategic needs.
- Review and approve cash flow forecasts prepared by the Deputy Manager, Cash Management.
- Monitor cash balances across all business units to ensure optimal allocation and utilization.
- Develop and implement cash management strategies to optimize short term investments
- Ensure timely resolution of discrepancies in cash flow forecasting.
- Work closely with the Payment team to facilitate seamless execution of payment S and fund transfers.
- Oversee cash concentration strategies and intercompany cash management processes.
- Ensure compliance with Internal and external cash management refutations and best practices.
Project Management - Lead treasury related projects, including system implementations, process automation, and efficiency improvements.
- Provide strategic direction and oversight to the Deputy Manager, Project Management
- Ensure successful execution of financial projects within scope, timeline, and budget.
- Drive enhancements in banking and treasury systems to support automation and process efficiency
- Monitor and manage the implementation of ongoing projects to ensure adherence to the agreed timeline
Support To The CFO Office
- Oversee the injection of KPJ buildings into Al-Agar REIT.
- Prepare reports for the Investment Committee, Audit Committee, and Board of Directors.
- Manage Board-approved projects, ensuring alignment with strategic goals.
- Provide financial projections and analyses for hospitals and support services to guide strategic planning.
Treasury
- Ensure liquidity for working capital needs, managing intercompany cash transfers, lending, dividends, and capital injections.
- Oversee cash management and maintain banking and financial institution relationships. Develop treasury forecasts, including monthly, annual, and 5-year projections for financing and Su'fiUk.
- Ensure compliance with internal controls and develop treasury policies.
- Align treasury requirements with KPJ's Strategic Plan.
- Lead process improvements for treasury functions.
- Recommend financing strategies for new projects and obtain KGMC approvals.
- Provide technical support for mergers, acquisitions, and special projects.
- Monitor gearing levels and assess financial risk.
- Evaluate and enhance cash flow and financing benchmarks for KPJ hospitals.
- Manage banking relationships and liquidity strategies.
- Implement interest rate risk management and mitigation strategies.
Others
Prepare presentations and documentation for special projects.
Qualifications
- Qualification in CIMA/ACCA/CPA or any professional bodies
- Previous experience in Corporate Finance
- High level of accuracy and attention to detail
- Ability to work under pressure and to tight deadlines willingness to act on one's own initiative
- Ability to make commercial decisions and ability lo gather and present information in a clear and concise manner
- Finisher - the ability to see tasks through to completion
- Be aware there is a typo in original content; retain meaning as written
Desired experience/exposure
A minimum of 10 years experience in a Financial institution and Service Industry