Job Summary:
Responsible for overseeing a company's accounting operations, financial reporting, and regulatory compliance. He/She manages the day-to-day accounting functions, prepares financial statements, develops and implements accounting policies, and ensures adherence to tax and other regulations. Additionally, they play a crucial role in financial planning, budgeting, and analysis, providing insights to support strategic decision-making.
Job Highlight
- Location: Penjuru
- Salary up to $11K
- Mon - Thu (8.30AM to 6.00PM) & Fri (8.30AM to 5.30PM)
- Reports to: Director
Key Responsibilities
1. Regulatory Reporting
- Oversee timely and accurate preparation of monthly and annual financial reports and regulatory filings
- Supervise corporate tax planning, GST filings, and regulatory submissions.
2. Internal Controls & Financial Governance
- Establish robust internal controls, risk management frameworks, and corporate policies.
- Oversee internal and external audit processes, ensuring strong financial reporting integrity.
- Conduct compliance monitoring and risk assessments to mitigate financial and operational risks.
- Review and approve financial contracts, obligations, and vendor agreements.
3. Treasury, Cash Flow & Risk Management
- Manage cash flow planning, forecasting, and liquidity strategies to support business stability.
- Optimize working capital and financial risk management.
- Oversee corporate financing, debt structuring, and banking relationships.
4. Business Performance Monitoring & Cost Control
- Develop financial performance metrics and KPIs to track business profitability.
- Implement cost control measures and budget adherence strategies.
- Conduct variance analysis on budgets vs. actual financial performance.
5. Financial Systems & Process Optimization
- Lead financial process automation and SAP system improvements for reporting accuracy.
- Drive financial efficiency and optimization through digital transformation.
6. Strategic Business Advisory
- Provide financial insights and strategic recommendations to the Board of Directors.
- Support M&A activities, business restructuring, and expansion planning.
Requirements
- Bachelor’s Degree in Accounting and Finance; (CA)/CPA/ACCA or equivalent certification.
- Minimum 10 years of experience in financial management, and strong expertise in logistics, marine, or related industries.
- Strong knowledge of corporate governance, IFRS/SFRS standards, and internal controls, as well as the ability to build trust across functions.
- Stakeholder management experience with auditors, regulators, and financial institutions.
- Experience in corporate restructuring, M&A, and treasury management.
- Proficient in SAP systems and financial tools (e.g. Excel).
- Strong leadership, independent, detail-oriented, and proactive in taking ownership.
Interested candidates, please apply by sending an updated resume. Only shortlisted applicants will be notified.