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Gentari

Executive, Finance

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Job Description

Changing how we live today

to help secure our future.

Join us at Gentari to be part of this exciting, purposeful journey towards a cleaner energy future.

Gentarians are passionate about sustainability - our purpose is to solve the world's most pressing sustainable energy needs. Here at Gentari, we move differently. Teams seek out opportunities to work with one another to achieve shared goals and we trust our people with the freedom and autonomy in ways of working to spur innovative thinking and creativity. We aim to keep good people at the heart of what we do by ensuring that our people feel empowered to chart career paths alongside personal growth. Beyond the promise of an open and flexible work environment, we hope to make Gentari feel like a second home, a place where everyone is valued, and differences are celebrated.

This role supports financial management, corporate finance, and governance for Gentari Mobility. Ensures timely reporting, financial discipline, and effective treasury and risk management to enable profitable and sustainable business growth.

Responsibilities

Treasury and Cash Management

  • Manage cash flow, liquidity, and forecasted funding requirements for Gentari Green Mobility Sdn Bhd and its direct subsidiaries;
  • Provide oversight of banking operations, ensuring compliance with relevant policies, guidelines, and established processes;
  • Oversee accounts payable and receivable functions, vendor management, and tax compliance activities.

Corporate Finance

  • Support, through the development and implementation of overall strategy, for optimal financing and funding via equity, external financing, trade financing, and decarbonisation funds;
  • Assist in structuring and evaluating investment opportunities for growth, that meet business objective and commercial arrangement to create and protect value.

Governance, Risk & Processes

  • Serve as custodian for RAPIDs, Counterparty Credit Risk Guidelines, and the implementation of group-wide financial and risk policies;
  • Oversee the development and ongoing maintenance of financial processes, ensuring compliance with established business and control frameworks.

Financial & Management Accounting

  • Support the monthly, quarterly, and annual financial close processes, including analysis and reporting;
  • Assist in the preparation of Consolidated Reporting Packages (CRP) for group consolidation;
  • Provide support for annual audits, statutory filings, and internal audit activities.

Requirements

  • Bachelor's degree in Finance, Accounting, Economics, or a related discipline; professional qualifications such as CA or CFA are an advantage;
  • 39 years of relevant experience across accounting and finance functions, including banking and treasury operations, corporate finance, and risk management;
  • Knowledge of treasury systems, trade finance instruments and banking products;
  • Advanced proficiency in Excel, SAP, and a range of banking-related systems;
  • Strong analytical, financial reporting, and stakeholder management skills;
  • Detail-oriented, disciplined, and results-driven;
  • Strong teamwork mindset with ability to work across functions, geographies and cultures.

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About Company

Job ID: 139174923

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