Oversee the overall financial and accounting operations of the group including APs, treasury/banking, fixed assets, audit, tax compliance, management accounting and consolidated financial statement.
Quarterly and half yearly preparation for quarter financial result for announcement, board meeting materials, submission for covenants fulfilment and submission to fulfil SC/bursa requirements.
Responsible for financial planning and budgetary control, consolidation of accounts, treasury, funding, tax management, policy development
Responsible for timely submission of group consolidated financial report
Analysis and review overall financial performance of the Group
Prepare annual forecast and budget as well as monitor actual performance
Contribute to the achievement of the company's business objectives by providing advice and guidance on financial strategy
Develop and control the company's annual operating budget to ensure that all financial targets are met and financial and statutory regulations are complied with
Maintain good relationship and liaise with Corporate Bankers on financing matters
Report to Directors with timely and accurate financial information
Perform any other ad hoc duties as and when assigned by Management
Job Requirements
Possess Bachelor's Degree in Accountancy/full professional qualifications in accountancy such as ACCA/MACPA/CPA or its equivalent.
Minimum 8 years relevant working experience in the related field is required Finance experience in REIT industry is an added advantage
Strong leadership, good analytical, communication and interpersonal skills Ability to multi-task and handle high level of pressure
Ability to meet tight reporting deadlines and navigate through complex financial situation to maximize results
Analytical mindset, result-driven and with high level of integrity