Review all accounting and financial procedures and policies. Ensure that the Group complied with the Generally Accepted Accounting Principles.
Ensure the uniform accounting practices, adequate internal controls, in accordance with the Group’s policies and procedures.
Cash Flow management
Work closely with all departments and subsidiaries on operational and accounting related matters.
Review financial statements, ensure all relevant financial accounts and reports are produced and maintained on an accurate and timely manner.
Reviewing quarterly financial reports for Audit Committee and Board of directors meeting
Preparation of all financial information required by operations and corporate affairs for the purpose of obtaining funds and assist in the solicitation and negotiation of finance and Bursa Malaysia.
Liaise with the external & internal auditors for statutory audit & internal audit
Liaise with tax agent for submission of tax returns & other related tax matters
Review of profit and cash flow forecast of the Group.
Member of ISO Committee and Management Team attending the Management Review.
Monitoring the implementation of the system at departmental level, together with corrective, preventive and improvement measures.
Promotion of Quality Risk thinking.
Any other duties as may be prescribed by the Management from time to time.
Requirements:
Minimum Bachelor’s Degree in Accounting, Finance, or related field.
Professional qualification (ACCA) is highly preferred.
Minimum 8–10 years of relevant experience, with at least 3 years in a managerial capacity.
Experience in a public listed company handling full set accounts is our preference.
Experience in corporate finance is an added advantage.
Strong and sound technical knowledge of financial reporting standards
Excellent leadership, analytical, and communication skills.
High level of integrity, responsibility, and attention to detail.