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Senior Executive/Executive , Group Finance & Treasury

Thriven Global Berhad

Selangor

On-site

MYR 50,000 - 80,000

Full time

Yesterday
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Job summary

A reputable finance organization in Malaysia is seeking a Senior Executive/Executive in Group Finance & Treasury. The ideal candidate will manage financial reporting, prepare statutory accounts, and ensure compliance with tax laws. A degree in accounting and at least 3 years of relevant experience are required. Candidates must have a strong understanding of financial standards and excellent English communication skills. This role offers a dynamic work environment with opportunities for growth.

Qualifications

  • Minimum 3 years' experience in preparing monthly and annual financial statements.
  • Good knowledge of Financial Reporting Standards.
  • Committed, meticulous, and able to prioritize deadlines.

Responsibilities

  • Prepare monthly management accounts for consolidation.
  • Draft annual statutory financial statements with supporting breakdown.
  • Handle audit issues and submission of necessary information.
  • Prepare periodic and ad hoc payments.
  • Track collections with Sales Admin and Legal department.

Skills

Financial Reporting
Tax Laws
Cashflow Management
Treasury Management
Communication in English

Education

Degree in accounting or professional accounting diploma
Job description
Senior Executive/Executive, Group Finance & Treasury

Financial reporting, banking facilities and treasury matters, tax, management and assist in board reporting materials and other finance related matters in respect of several entities within Thriven Group.

Essential Job Functions

  • Preparation of monthly management accounts along with comprehensive notes/breakdown and commentary suitable to be used for consolidation of group accounts for management reporting as well as quarterly and annual reporting to Bursa Malaysia.
  • Preparation of annual statutory financial statements – drafting of statutory accounts complete with notes and supporting breakdown.
  • Submission of all necessary info and handling of all audit issues relating to entities under his/her care.
  • Preparation of periodic payments as well as ad hoc payments.
  • Tracking of collections vide frequent contact with Sales Admin and Legal department.
  • Ability to interpret and apply accounting standards, tax laws and Companies’ Act in carrying out scope of duties.
  • Monthly computation of simplified tax charge/credit, preparation of tax estimate, revised estimates and tracking of instalments, tax refunds and other tax matters including transfer pricing.
  • Assist in the preparation of periodic cashflow for reporting and for project funding.
  • Assist in the preparation of annual budget.
  • Compilation of info for bank annual review and fresh application for facilities.
  • Group level tasks allocated and other tasks delegated by management from time to time.

Skills and Core Competencies

  • Degree in accounting and/or professional accounting diploma.
  • Minimum 3-year experience in preparation of monthly and annual financial statements, ideally with exposure to property development/construction.
  • Good knowledge of Financial Reporting Standards and tax laws.
  • Good understanding of cashflow, treasury and dealings with banks.
  • Good command of English, both spoken and written.
  • Committed, meticulous and prioritises deadlines.

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