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The Accounting & Finance Manager will oversee and manage the accounting and financial
operations of the organization. This role is responsible for ensuring the accuracy and integrity
of financial reporting, managing budgets, and providing strategic financial insights to support
business decision-making. The ideal candidate will have extensive experience in accounting
and finance, strong leadership skills, and a proven track record of managing financial
functions effectively.
The candidate will report to the Managing Director /Director and will primarily be involved in
the following activities.
Financial Reporting: Prepare and review accurate financial statements, reports, and
forecasts in compliance with MFRS and other regulatory requirements. Ensure timely
and accurate financial reporting to stakeholders.
Budget Management: Develop and manage the annual budget process. Monitor
financial performance against the budget and provide variance analysis and
recommendations.
Accounting Oversight: Oversee the daily operations of the accounting department,
including accounts payable, accounts receivable, general ledger and staff
disbursements. Ensure accuracy and timeliness in all accounting functions.
Accounts Receivables Management: Monitor, manage, and optimize accounts
receivable processes to ensure timely collection of outstanding invoices, minimize
credit risk, and maintain healthy cash flow. Develop and implement strategies to
improve receivables turnover and resolve overdue accounts.
Transfer Pricing Compliance: Oversee and ensure compliance with all transfer
pricing regulations and requirements. Coordinate the preparation and review of
transfer pricing documentation, support intercompany transactions, and liaise with tax
advisors and auditors to ensure alignment with local and international regulations.
E-Invoice Compliance: Ensure the company's invoicing processes fully comply with
e-invoicing regulations and requirements as stipulated by relevant authorities.
Oversee the implementation and maintenance of e-invoicing systems, provide
guidance on compliance matters, and coordinate with IT and external vendors as
needed.
Corporate Tax Management: Oversee all aspects of corporate tax compliance,
planning, and reporting. Ensure timely and accurate preparation and filing of
corporate tax returns, manage tax audits, and coordinate with external tax advisors to
optimize the company's tax position while ensuring compliance with local and
international tax laws.
Internal Controls: Implement and maintain robust internal controls and financial
procedures to safeguard company assets and ensure compliance with regulatory
requirements.
Audit Coordination: Coordinate and support internal and external audits, ensuring
timely and accurate responses to auditor inquiries.
Team Leadership: Lead, mentor, and develop the finance and accounting team.
Foster a culture of high performance and continuous improvement.
Cash Flow Management: Monitor and manage cash flow to ensure the financial
stability of the organization.
Stakeholder Communication: Provide financial insights and recommendations to
senior management to support strategic decision-making.
MUST TO HAVE:
Bachelor's degree in Accounting, Finance, or a related field. Professional certifications
(e.g., CPA, ACCA, CIMA) are preferred.
Minimum of 5 years of progressive experience in accounting and finance, with at least
2 years in a managerial role.
Strong knowledge of accounting standards (MFRS/IFRS), tax regulations, and financial
reporting requirements.
| Proficiency in accounting |
Job ID: 147907539
Skills:
Internal Controls, ERP accounting systems, Working Capital Management, Reconciliations, compliance with accounting standards, finance processes, Invoice Verification
Skills:
Microsoft Excel, SAP, Financial Analysis, Accounting, Vendor Management, Tax, Financial Reporting, Statutory Compliance, Audit, ERP Systems, Budgeting, Accounts Payable
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