Senior Finance Exec: Multi‑Entity Accounts & JV Costing Lead

KUALA LUMPUR DURIAN EXPERIENCE SDN. BHD.

Kuala Lumpur

On-site

MYR 33,000 - 67,000

Full time

14 days+
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Benefits offered by this job

Maternity leave
Opportunities for promotion

Job summary

Kuala Lumpur Durian Experience Sdn. Bhd. in Malaysia is seeking a Finance Executive to handle the full set of accounts for multiple entities, ensuring accuracy and timely closing of monthly accounts.

You will prepare monthly P&L statements, balance sheets, and management reports, and liaise with auditors, tax agents, bankers and the company secretary to ensure statutory compliance. Additionally, you will oversee AP/AR, internal costing, SOA reviews, and support cash flow management and internal

Responsibilities

  • Handle full set of accounts for multiple entities, ensuring accuracy and timely closing of monthly accounts.
  • Prepare monthly P&L statements, balance sheets, and management reports for all entities.
  • Perform regular financial reporting to management, highlighting variances, trends, and recommendations.
  • Liaise with auditors, tax agents, bankers, and company secretary to ensure statutory compliance.
  • Prepare JV and project-based financial reports, including revenue tracking and cost allocation.
  • Maintain and analyse China export costing and profit margins, aligning Malaysia and China statements.
  • Work with China teams on internal costing, SOA reviews, reconciliation, and payment schedules.
  • Oversee AP/AR functions, including invoice verification, payment processing, and debtor follow-up.
  • Ensure proper maintenance of financial records, accounting entries, and supporting documents.
  • Support cash flow management, including forecasting, monitoring, and fund allocation.
  • Assist in developing and refining internal controls, SOPs, and financial processes to improve efficiency.
  • Maternity leave
  • Opportunities for promotion

Job description

Kuala Lumpur Durian Experience Sdn. Bhd. in Malaysia is seeking a Finance Executive to handle the full set of accounts for multiple entities, ensuring accuracy and timely closing of monthly accounts.

You will prepare monthly P&L statements, balance sheets, and management reports, and liaise with auditors, tax agents, bankers and the company secretary to ensure statutory compliance. Additionally, you will oversee AP/AR, internal costing, SOA reviews, and support cash flow management and internal

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