Job Description
Assistant General Manager Finance

Responsibilities:

This role is responsible to all aspects of financial management, including corporate finance & accounting matters, group consolidation, financial risk management, regulatory and financial reporting, banking & treasury matters, as well as development of internal control policies and procedures. Overseeing financial department staff in day-to-day operations.

  • Reporting to Head Finance.
  • Oversee financial and accounting related matters for all businesses including public listed companies and private companies.
  • Establish operational budgets and manage/oversee cash flow projections of the Group to control payment and collection schedule for each project to achieve efficiency in cash management system.
  • Support Head Finance to develop, implement and establish short, medium and long term financial plans and projections.
  • Support senior management on business feasibility studies from financial perspective.
  • Provide advice to Top Management team on the financial implications of business and/or project activities.
  • Oversee and manage cash flow planning and treasury function of the Group.
  • Involve in corporate exercise including fund raising exercise.
  • Responsible to source for project funding, evaluate and apply for financing and loan instruments.
  • Responsible for corporate taxation planning and compliance matters and optimize tax incentives.
  • Responsible for statutory reporting including preparation of Bursa quarterly report, financial reports, group audited financial statement and annual report.
  • Attend the Company’s Annual General Meeting (AGM) and others shareholders meeting.
  • Where required, represent the company to financial partners; investors, institutions, auditors, public officials etc.
  • Responsible to prepare and/or review the group consolidation accounts and management accounts.
  • Review and analyze financial results and recommend process improvement in cost-control across the company.
  • Accountable to ensure that effective internal controls are in place and ensure financial and tax reporting are compliance with Malaysia laws & regulations and Financial Reporting Standard (FRS) where applicable.
  • Maintain good relationship and coordination with bankers, auditors, tax agents, company secretary, corporate advisor, corporate due diligence working group and regulatory department.
  • Ensure all processes are according to Standard Operating Procedure (SOP) and review its effectiveness from time to time.
  • Undertake and all other duties and responsibilities as instructed and assigned by the senior management.

 

Requirements:

  • At least 7-10 years of financial experience, preferably in property development and/or construction industry.
  • Degree in Accounting, Finance or related field.
  • Possess professional qualification in accounting ie. MIA, ACCA, CIMA or equivalent.
  • Hands-on experience in corporate exercise eg. M&A, listing exercise, business diversification, fund raising, etc.
  • Familiar with the requirements and guidelines of Bursa Malaysia, Securities Commission and other relevant authorities.
  • Familiar with term loan, bridging loan and cash flow planning especially in property development.
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