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Senior Executive Account

GLOBAL GREENCHAIN INNOVATION SDN. BHD.

Alor Merah

On-site

MYR 60,000 - 80,000

Full time

2 days ago
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Job summary

A leading company in Kuala Kedah is seeking an experienced Financial Governance & Compliance professional. The role involves ensuring compliance with MFRS & IFRS, preparing financial reports, budgeting, and coordinating with various departments. The ideal candidate will have a strong background in financial analysis and reporting, ensuring organizational financial integrity and efficiency. A proactive approach to financial governance and operational support is essential for success in this position.

Qualifications

  • Experience with MFRS & IFRS compliance and corporate taxation.
  • Strong financial reporting skills, including preparation and review.
  • Ability to monitor financial performance and conduct variance analysis.

Responsibilities

  • Ensure compliance with financial governance and regulations.
  • Prepare and review financial statements and reports.
  • Monitor budgets and control costs effectively.

Skills

Financial reporting
Budgeting
Cost control
Variance analysis
Cash management
Job description

GLOBAL GREENCHAIN INNOVATION SDN. BHD. – Kota, Kedah

Financial Governance & Compliance Compliance with MFRS & IFRS Corporate taxation compliance and filing deadlines Financial policies, procedures, and internal controls Liaison with auditors, tax agents, and regulators

Financial Reporting & Closing Monthly, quarterly, and annual financial closing Preparation and review of financial statements Management reporting

Financial Analysis & Performance Monitoring Monitoring financial performance Variance analysis (budget vs actual) Cost and expense analysis Financial insights for management decisions

Budgeting & Cost Control Budget preparation and monitoring Review of PR / PPR against budget availability Cost control and expenditure analysis Coordination with departments on budget matters

Fixed Assets & Inventory Accounting Fixed asset register maintenance Asset acquisition, transfer, and disposal records Depreciation accounting Inventory accounting and reconciliation

Cross-Functional Coordination Working with other departments to align financial goals Supporting operational teams on financial matters Clarifying financial procedures and requirements

Banking & Cash Management Monitor bank balances and manage fund arrangements. Track cash flow to ensure liquidity. Perform bank reconciliations. Update incoming and outgoing transactions in the banking system.

Accounting Operations (Daily Transactions) Process and check PR / PPR / SI documents. Issue and verify Tax Invoices. Process Debit Notes & Credit Notes. Perform general ledger postings. Maintain accurate document filing and record keeping.

International Trade & Foreign Exchange Prepare and register the monthly Foreign Exchange Internal Rate. Provide supporting documentation for international transactions.

Support to Senior Executive Assist the Senior Executive in: Financial governance & compliance. Financial reporting & closing (schedules & reconciliations). Budgeting & cost control (tracking and reporting). Fixed assets & inventory accounting. Cross-functional coordination with other departments.

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