About the Employer.
A reputable property developer with more than 30 years in the market.
Office: Petaling Jaya
Salary Range: RM 5000 RM 7000
Responsibilities:
- Financial Reporting: Prepare analyze and present financial statements reports and budgets to senior management. Ensure accuracy completeness and compliance with accounting standards and regulatory requirements.
- Financial Analysis: Conduct indepth financial analysis including variance analysis trend analysis and financial forecasting. Provide insights and recommendations to support business decisionmaking and identify areas for cost optimization.
- Budgeting and Forecasting: Coordinate the budgeting process including the preparation of annual budgets and periodic forecasting. Monitor actual financial performance against budgeted figures and provide explanations for variances.
- Cash Flow Management: Manage cash flow effectively ensuring adequate liquidity for daytoday operations and working capital requirements. Prepare cash flow forecasts and implement strategies to optimize cash flow management.
- Compliance and Audit: Ensure compliance with relevant financial regulations accounting standards and company policies. Collaborate with internal and external auditors during financial audits and assist in implementing audit recommendations.
- Financial Systems and Processes: Continuously evaluate and improve financial systems processes and controls to enhance efficiency accuracy and effectiveness. Streamline financial workflows and leverage technology to automate routine tasks.
- Stakeholder Management: Collaborate with internal stakeholders such as department heads management teams and crossfunctional teams to provide financial guidance and support. Build strong relationships with external stakeholders including banks vendors and auditors.
- Risk Management: Identify financial risks and develop strategies to mitigate them. Monitor and evaluate financial risks such as currency fluctuations interest rate changes and credit risks. Implement risk management practices to safeguard company assets.
Qualifications:
- Graduate from Accounting
- Proven experience in financial analysis financial reporting budgeting and cash flow management.
- Strong knowledge of accounting principles financial regulations and compliance requirements.
- Proficient in financial modeling forecasting and financial software applications.
- Excellent analytical and problemsolving skills with attention to detail.
- Strong communication and interpersonal skills to effectively collaborate with stakeholders.
- Ability to work in a fastpaced environment and meet deadlines.
Apply now or contact the below to know more.
WhatsApp / Telegram :
WeChat : JohnsonJRecruit
Email :
Remote Work :
No