职位详情
国籍要求:马来西亚
职位描述
Key Responsibilities
Perform treasury management and monitor financial positions.
Maintain relationships with financial institutions, negotiating bank fees and service terms. Monitor and mitigate financial risks, including foreign exchange (FX) exposure.
Coordinate the development, implementation and monitoring of accounting systems
Continuously seek and implement opportunities to streamline and improve finance and accounting operations through technology including training staff to better utilize financial and accounting software.
Ensure day-to-day transactions such as accounts payable, cash receipts and accounts receivable, credit card transactions are recorded properly.
Assist the Director and budget managers in developing and monitoring departmental, and organizational budget; assisting with monthly financial reporting needs.
Set up internal control policies and procedures, standard operating procedures, etc and continuously find the opportunities to improve them.
Work closely and liaise with internal and external stakeholders including various departments, authorities and other parties such as auditors, tax agents etc.
Requirements
A recognised qualification in Accounting and Finance.
Minimum 8 years of relevant experience in accounting and financial management, including at least 2 years in a supervisory or managerial role.
Excellent team management skills.
Proficiency in accounting software and advanced MS Excel skills.
Familiarity with financial regulations, accounting processes and internal controls.
Outstanding analytical skills.
Able to work with minimal supervision and in a fast-paced environment.