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JOB PURPOSE
The Finance Manager plays a pivotal role in overseeing the overall financial management, reporting, and compliance functions.
KEY RESPONSIBILITIES
- Manage the full spectrum of finance functions for the Malaysia business, including general ledger, AR/AP, treasury, payroll and taxation.
- Prepare accurate and timely monthly, and annual financial reports for management review.
- Conduct detailed variance analysis, KPI reporting and provide insights to support management decisions.
- Oversee cash flow management, and treasury operations to ensure financial sustainability.
- Ensure full compliance with Malaysian statutory, tax, and audit requirements.
- Liaise with external auditors, tax agents, company secretary, and legal advisors.
- Strengthen and maintain internal control frameworks to safeguard assets and mitigate risks.
- Lead audit preparation and ensure timely completion of annual audits.
- Work closely with warehouse and operations teams to maintain accurate stock and inventory control.
- Coordinate with head office on member commission calculations and payments.
- Lead, coach, and develop the finance team to ensure high performance and continuous growth.
- Participate in or lead finance-related projects, system enhancements, and business improvement initiatives.
QUALIFICATION & EXPERIENCE
- Bachelor's Degree in Accounting / Finance or professional qualification (ACCA, CPA, CIMA, or equivalent).
- Minimum 5 years of accounting experience, with managerial experience.
- Proven track record of driving process improvements, audit readiness, and team performance.
Company Secretary
With deep roots across 13 APAC markets, PERSOL delivers strategic workforce solutions that blend local expertise with regional scale.
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For more information, please visit www.persolmalaysia.com
Job ID: 149161935
Skills:
Forecasting, Internal Control, Leadership, Compliance, Treasury Management, Financial Analysis, Financial Accounting, Variance Analysis, Reporting, Accounting Standards, Cost Control, Budgeting, Project Cost Management, Stakeholder Management
Skills:
Excel, Forecasting, Compliance, Budgeting, Variance Analysis, Financial reporting, Financial Modelling
Skills:
AP, AR, Consolidation, Treasury and cash forecast, Accounting, Internal Control, Expenses claims, Corporate taxes declaration and filing, Statutory audit
Skills:
Gl, AP, AR, Bank Reconciliation, Internal Controls, Payroll Administration, Accounting, Cash Flow Forecasting, Variance Analysis, Financial Reporting, Year-end Closing, Fixed Assets, Budgeting, Process Improvements
Skills:
e-invoicing, Tax Compliance, Erp System, Treasury Operations, Accounting, Budgeting, Financial reporting