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Job Description

The candidate must possess knowledge in corporate financial planning, financial analysis, treasury, budgeting and forecasting, preferable in the property development industry. His/her responsibilities include but not limited to:

Budgeting & Forecasting

  • Collaborate with project managers to develop annual group budgets and conduct projects feasibility studies.
  • Prepare/review the comparison of budgets with the actual results.
  • Evaluate and recommend for budget proposals and funding requests
  • Forecast for future budget needs
  • Prepare periodical and special reports
  • Conduct cost/benefit and other types of analysis

Treasury

  • Liaise with bankers including identify, evaluate, and recommend suitable financing options from banks and financial institutions
  • Prepare loan applications and proposals including financial models, projections, and business cases
  • Lead negotiations and finalise financing requirements, financial packages and agreements with banks on loan terms, interest rates, repayment schedules, and covenants
  • Liquidity and cashflow management for the organisation and debt facilities reporting
  • Ensure smooth operation of company's banks and all excess funds are appropriately placed for better efficiency and returns
  • Responsible for interest and debt analysis, with provision of relevant information and report
  • Conduct if-analysis on Group cash flow planning for different scenarios and circumstances

SOP and Risk Management

  • Establish, implement & review financial processes, policies and internal control procedures and to ensure compliance with corporate policies and standard operating procedures or applicable statutory and regulatory requirements
  • Establish, implement & review risk management policies, procedures, risk register and governance frameworks particularly in financial risk
  • Oversee regular risk monitoring and reporting activities, including the preparation of risk dashboards and reports for executive and board-level review

Corporate exercises

  • Management and execution of corporate exercises such as M&A, joint ventures, and fundraising initiatives of the Group
  • Lead financial modelling, due diligence, valuation, and feasibility studies for key projects
  • He/she should expect to perform special projects and ad-hoc requests from time to time as the management deems fit.

Requirements and skills

  • Candidates must possess at least a Bachelor's Degree/Professional Degree in Finance/Accountancy or equivalent
  • Liaise with senior management across the organisation
  • Liaise with internal/external auditors, tax agents, solicitors & other regulatory bodies when required
  • Internal and credit control, project and risk management as well as business improvement plans
  • Possess excellent mathematical ability and analytical mind
  • At least 10 years of relevant working experience. Audit experience welcomed
  • Candidate with working experience in public listed company and properties is preferred
  • Strong Microsoft Excel, Words skills
  • Good verbal and written communication skills in English and Bahasa Malaysia
  • Meticulous, independent, able to perform under tight deadlines and assume challenges and additional responsibilities
  • Candidate who is able to start work immediately will have an advantage

More Info

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Job ID: 145720187

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