Job vacancy Finance Manager
Announced
10 May, 2024
Job Type
Employee
Job Status
Full Time
Job Title
Finance Manager
Job Location
Job Presentation
Responsibilities:
- Ensure timely completion of period-end closing activities, including Trial Balance, Profit & Loss (P&L), Balance Sheet, and Cash Flow statements.
- Meet half-year and full-year operating and free cash flow targets through accurate forecasting and monitoring of cash movements.
- Generate cash flow forecasts and maintain adequate cash reserves to prevent business disruptions.
- Drive innovation in cash collections and payments processes, leveraging technology for efficiency and accuracy improvements.
- Collaborate with external and internal auditors, tax agents, regulators, and tax authorities on financial matters.
- Review journal entries, balance sheet reconciliations, fixed assets, intercompany transactions, and corporate authority limits.
- Manage bank signatories and local banking relationships in alignment with Group Treasury directives.
- Address escalations from Global Business Services (GBS), End Markets, cross-functional teams, and external stakeholders.
- Engage with senior stakeholders, including Financial Director, Senior Leadership Team, and Area Directors.
- Ensure compliance with SOX controls, corporate authority limits, and financial institutions' regulations, escalating any discrepancies.
Stakeholders:
- End Market Corporate Finance Business Partners: Inform about cash flow forecasting trends, trade partner programs, and expenditure decisions.
- End Market Functional Single Points of Contact (SPOCs): Coordinate and ensure alignment in capital expenditure, excise payments, and month-end closure.
- End Market Heads of Finance and Finance Directors: Report on working capital and audit statuses, providing support as needed.
- Group Treasury: Align cash usage, internal and external loan drawdowns, and timing of forex hedging contracts.
- GBS Functional Managers and Banking Teams: Coordinate bank signatories, vendor management, and online banking portals.
- Bachelor's Degree in Accounting or related field, along with professional accounting qualification (ACCA/CPA/MIA, etc.).
- 8-10 years of progressive experience, with a strong background in cash flow management and handling full sets of accounts.
- Thorough understanding of group accounting principles, with the ability to identify and address accounting issues.
- Experience in the external audit industry is highly advantageous.
- Tax experience and familiarity with Shared Services Centre environments are desirable.
- Exposure to multinational corporation (MNC) working environments and Consolidated Group Accounts is a plus.
- Proficiency in using SAP system is preferred.
- Excellent English language skills, both written and verbal.
- Great opportunity to work for the MNC company in the world
- International and virtual environment
- Flexibility and great opportunity to learn
- Tempting Compensation and benefits
Salary
MYR13,000 - MYR15,000 per month (MYR156,000 - MYR180,000 per year) (MYR)
Valid Till
10 Aug, 2024 (81 days left)
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Michael Page
Level 27 Integra Tower, The Intermark, 348 Jalan Tun Razak 50400, Kuala Lumpur
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