Prepare monthly consolidation result and group management reportReview and interpret monthly financial results, analyse variances and advise on financial implications of business decisionsTo monitor cash flow managementResponsible for company audit, tax risk and any other statutory requirementsLiaise with company secretary, lawyers and bankers, auditors and Tax agent on accounting mattersTo collate and prepare budget, mid-year and year-end projection figuresReview and analyse all related companies management reportPrepare and lodge monthly corporate taxesEnsure compliance with applicable accounting standardsGeneral administration, business operations support and other ad-hoc assignmentsSkills:Work efficient level is importantStrong knowledge of consolidation principles and reporting experience.Familiar with IFRS and MFRS accounting standardResult oriented, dynamic, creative, multi-tasking, self-motivated and willing to accept the challengeTo speak and write in good English and Bahasa MalaysiaRequirement:Candidate must possess at least Professional Certificate in Finance/Accountancy/Banking or equivalent.At least 5Year(s) of working experience in the Accounts and Finance is required for this position.Preferably Manager specialized in Finance - General/Cost Accounting or equivalent.
Type : Company job
Role : N/A
Industry : Others
Salary : Not Disclosed
We are a well-established trading company located at Kuala Lumpur. In line with our expansion plan, we wish to invite dynamic and committed individuals to be part of our team.