Summary
We are looking for Finance / Accounting in various accounting spectrum respectively:
- Accounts Payable OR
- Account Receivable OR
- Cash Management OR
- Credit Control OR
- Management Reporting OR
- Consolidation
- Tax and Statutory
Responsibilities
Manage and ensure quality in terms of accurate, completeness and timeliness of operational task in performing daily activities of finance and accounting as below.
- Perform month end activities within agreed SLA timeline.
- Advice function teams on payment proposal run on schedule basis or urgent basis and ensure payment is executed timely.
- Review balance sheet aging on monthly basis and advice necessarily action to be taken.
- Review GST/GTP/BNM related report (if any).
- Manage and ensure quality in terms of accurate, completeness and timeliness of the Cost & Controlling team in performing daily activities for the following Cost & Controlling processes by performing cost reconciliation through the preparation of costing reports and analysis
- Review Monthly/ quarterly/ year-end/ Business Group financial reports including reports for group reporting, internal management reporting, statutory reporting, RGM Management reporting, as prepared by the analysts/ senior analysts.
- Manage and resolve issue raised by Business Groups.
- Managing and resolve issues, queries related to daily task and system. Raise issues, where necessary, to RGM Common Services Centre’s management with resolution for improvement.
- Respond to compliance audits and audit queries.
- Managing ad-hoc requests from Business Groups.