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A General Manager, Treasury and Budget job has become available at a company in real estate and property development industry based in Damansara, Kuala Lumpur.
A Real Estate and Property Development Group is seeking a highly experienced General Manager, Treasury and Budget to join their Group Finance division in Damansara, Kuala Lumpur. This pivotal role offers you the opportunity to safeguard and optimise the organisation's financial resources while driving excellence in treasury operations, funding strategies, and corporate budgeting. You will be instrumental in ensuring robust access to capital, strong liquidity, and disciplined financial planning that supports sustainable growth across the Group. With a competitive salary of RM300,000 to RM360,000 per annum, this position provides an exceptional platform for you to lead strategic initiatives in SUKUK and bond structuring, capital raising, debt portfolio management, and long-term financial planning. The company values flexibility, professional development, and a supportive environment where your expertise will be recognised and rewarded.
* Competitive annual salary ranging from RM300,000 to RM360,000 with comprehensive benefits tailored for senior professionals in finance.
* Opportunity to lead high-impact treasury and budgeting initiatives within a reputable real estate group committed to sustainable growth and innovation.
* Work directly with the CFO and senior leadership team on strategic projects including SUKUK issuance, capital raising, M&A evaluation, and digital transformation.
What you'll do:
As General Manager, Treasury and Budget at a Real Estate and Property Development Group in Damansara, Kuala Lumpur, you will play a central role in shaping the financial future of the organisation. Your day-to-day responsibilities will involve leading complex funding initiatives such as SUKUK issuances and bond structuring while ensuring that all fundraising activities align with long-term growth strategies. You will oversee debt portfolio management frameworks designed to diversify funding sources and optimise costs. In addition to managing liquidity through advanced cash flow forecasting models and working capital optimisation techniques, you will foster strong relationships with key stakeholders including banks, investors, regulators, and rating agencies. Your expertise will be crucial in identifying market risks-such as foreign exchange volatility-and implementing effective mitigation strategies. You will also drive the annual budgeting process across all subsidiaries by consolidating submissions and ensuring accuracy. Regular performance reviews will allow you to provide actionable insights that support operational strategies throughout the business. By partnering closely with senior leadership on strategic projects like M&A evaluations or IPO readiness initiatives, you will help translate financial plans into tangible results for every segment of the Group.
* Lead the end-to-end process of SUKUK, bond, syndicated loan, and other structured financing issuances by overseeing feasibility analysis, structuring documentation, investor engagement, and execution.
* Assess the suitability of Islamic versus conventional financing instruments to optimise the Group's capital structure while ensuring compliance with regulatory requirements.
* Develop and maintain an efficient debt management framework that ensures diversification of funding sources and optimal tenor mix for the organisation.
* Actively manage refinancing activities to minimise cost of capital and rollover risks while monitoring compliance with all debt covenants and Shariah principles.
* Establish robust cash flow forecasting models across the Group to ensure sufficient liquidity for operational, investment, and financing needs at all times.
* Optimise working capital by collaborating with business units on receivables, payables, inventory cycles as well as implementing cash pooling strategies for maximum efficiency.
* Build and sustain strong relationships with banks, investors, rating agencies, trustees, regulators such as BNM and Securities Commission Malaysia through effective negotiation and communication.
* Identify, measure, and mitigate market risks including FX volatility, interest rate changes, and liquidity challenges using appropriate hedging strategies.
* Lead the Group-wide annual budget cycle including development, consolidation, review processes while aligning assumptions with macroeconomic indicators and strategic initiatives.
* Conduct monthly or quarterly budget versus actual variance analysis; present findings along with corrective action plans to CFO and Management Committee.
What you bring:
To thrive as General Manager Treasury & Budget at this Real Estate & Property Development Group you should bring extensive experience gained over 15-20 years within treasury management corporate finance or budgeting roles ideally within large diversified organisations. Your background should include hands-on involvement in SUKUK structuring bond issuance management plus proven ability developing efficient debt portfolios optimising fundraising activities engaging stakeholders across banking investment regulatory sectors. Advanced knowledge of strategic budgeting financial modelling rolling forecasts scenario planning sensitivity analyses is essential allowing you provide proactive insights inform executive decisions. You'll need excellent interpersonal skills supporting collaborative work environments where cross-functional teamwork drives success; your capacity present complex information clearly confidently before senior audiences (CFO Board Audit Committee) will set you apart. Familiarity with digital transformation initiatives adoption ERP systems treasury automation further demonstrates your commitment towards continuous improvement transparency efficiency throughout finance operations.
* Bachelor's Degree in Finance, Accounting, Economics or related field is required for this senior position within Group Finance.
* Master's Degree or professional certifications such as CFA, ACCA, CPA, ICAEW or CIMA are highly desirable for candidates aspiring to excel in this role.
* At least 15-20 years of progressive experience in treasury management or corporate finance is essential; minimum 7 years must be at a senior leadership level.
* Proven experience in SUKUK structuring as well as bond issuance management is mandatory for consideration by our client.
* Demonstrated track record in debt portfolio management including corporate fundraising activities alongside stakeholder engagement responsibilities.
* Solid exposure to strategic budgeting processes coupled with advanced financial modelling skills at Group level is expected from ideal applicants.
* Ability to develop rolling forecasts plus scenario planning techniques that anticipate financial outcomes while informing decision-making processes.
* Experience presenting complex financial reports or proposals directly to CFOs Audit Committees Boards of Directors within large organisations is highly valued.
* Strong interpersonal skills enabling effective collaboration across teams departments external partners such as banks investors regulators trustees etc.
* Commitment towards continuous learning adoption of digital tools ERP systems enhancing transparency efficiency within treasury budgeting functions.
What sets this company apart:
A Real Estate & Property Development Group stands out as one of Malaysia's most respected names in property development renowned for its commitment towards sustainable growth innovative project delivery community-focused values. Employees benefit from a culture built around collaboration inclusivity supportive leadership generous employee contributions exciting working opportunities ongoing training programmes designed nurture professional advancement personal fulfilment. The organisation places high value on knowledge sharing dependable teamwork transparent communication-ensuring everyone feels empowered contribute meaningfully towards shared goals. As part of this forward-thinking group you'll enjoy access cutting-edge technology modern office facilities plus regular opportunities engage industry leaders shape future direction Malaysian real estate sector. Whether you're looking expand your skillset take on new challenges or simply work alongside passionate knowledgeable colleagues this company offers everything needed build rewarding long-term career within finance property development space.
What's next:
If you are ready to make a significant impact on the future of a leading real estate group while advancing your career in treasury management apply now!
Apply today by clicking on the link provided-your next career milestone awaits at A Real Estate & Property Development Group.
Do note that we will only be in touch if your application is shortlisted.
Agensi Pekerjaan Robert Walters Sdn Bhd
Business Registration Number : 729828-T
Licence Number : JTKSM 423C
Job ID: 140439975