Job Summary:
This role will oversee the Group’s financial and operational resources, ensuring financial sustainability, strategic growth, and strong governance. Key responsibilities include:
- Involvement in developing group wide financial strategy aligning to the Group’s business objective.
- Involvement and spearheaded various corporate exercises carried out by the group (i.e acquisition of land & subsidiaries).
- Negotiated financing deals by taking into consideration the long-term business, accounting & tax impact.
- Playing a vital role in ensuring healthy operating cash flow over the years while maintaining an optimum level of gearing in the statement of financial performance.
- Manage overall accounting, treasury and finance function of the Group.
- Review of project or business (i.e healthcare diversification) feasibility report prior to Board of director approval
- Involvement in strategic planning & execution of the Groups critical operation by advising from a finance, risk management and internal control point of view.
- Participation and active involvement in the Board of Directors’ meeting (at least on a quarterly basis) and ensuring effective communication and engagement with the board members.
Strategic Financial Leadership
- Develop and execute financial strategies to support business expansion and profitability.
- Provide financial insights for decision-making, aligning with corporate goals.
- Establish financial benchmarks and monitor performance against best practices.
Financial Planning & Risk Management
- Oversee budgeting, forecasting, and cost management to optimize financial resources.
- Ensure robust risk management strategies for credit, market, and operational risks.
- Strengthen internal controls and corporate governance frameworks.
Corporate Finance & Investor Relations
- Lead capital-raising efforts, investment planning, and financial structuring.
- Engage with investors, shareholders, fund managers, and regulatory bodies.
- Conduct financial evaluations for investment, acquisitions and major projects.
Compliance & Financial Reporting
- Ensure financial statements comply with MFRS, IFRS, Bursa Malaysia, and other regulations.
- Oversee tax planning, working capital management, and financial reporting accuracy.
- Develop policies for cash flow stability and long-term financial sustainability.
Requirements:
- Degree in Finance, Accountancy, or Banking. A professional qualification (MIA membership, CPA, ACCA, or equivalent) is required.
- 15-20 years of relevant experience, preferably in a public-listed company within the property development & construction industry.
- Strong knowledge of financial consolidation, MFRS, IFRS, corporate reporting, Bursa Malaysia listing requirements, and regulatory compliance.
- Expertise in corporate finance, financial modeling, tax planning, and risk management.
- Demonstrated leadership experience in building and managing high-performing finance teams.
- Strong analytical and problem-solving skills, with the ability to translate data into actionable strategies.
- Excellent relationship management, negotiation, and stakeholder engagement skills.
- Ability to converse in Bahasa Malaysia, English, and Mandarin is essential.
- High level of integrity, responsibility, and results-driven mindset.
- Resilient, proactive, and capable of working under pressure in a fast-paced environment.