Ensure all tax-related compliance for the Group of Companies, including but not limited to sales and service tax (SST), corporate tax, withholding tax and any other relevant taxes.
Prepare periodic tax computation and plan initiatives to minimize tax liability.
Liaise with external auditors, tax agents, corporate secretaries, and bankers in relation to annual audits.
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• Ensure timely & accurate generation of monthly/quarterly/annual accounts, quarterly & yearly Performance Reports, with proper analysis of schedules and analysis with the assistance of subordinates
• Assist in handling tax matters of the subsidiaries and other companies/branches as assigned in close liaison with the tax agents, including having a sound understanding of the tax laws and rulings to enable proper tax planning and mitigation for the companies handled and ensuring timely and accurate filing of annual submission, tax estimation and payments.
• Assist in liaison with external auditors to finalize the annual audit and ensure the statutory accounts are promptly submitted to Company Secretary for filing to SSM.
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Prepare and review of monthly group management accounts and reports, cashflows forecast vs actual and another other group related tasks.
Must possess a strong analytical ability to manage all accounting aspects which include AR/AP, cashflow planning and projection, debtor aging collection and budgetary management.
Verify payment proposal and voucher ensure prompt & correct payments to suppliers based on set credit terms.
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We are looking for Senior Finance Manager who will oversee all financial aspects of our organization, including compliance and reporting for Bursa listing purposes. This role involves leading financial planning, budgeting, forecasting, and analysis to support strategic decision-making. The ideal candidate will possess strong leadership skills to manage a team, along with extensive experience in financial reporting, risk management, and compliance with Bursa Malaysia regulations. The Senior Finance Manager will collaborate closely with our parent company to ensure financial objectives align with overall business goals.
Job Responsibilities
Prepare monthly accounts reconciliation and conduct business performance reviews.
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Verify all the supporting document, data and information provided to the share service to ensure the accuracy of data posted to GL and the completeness of documentation for audit purposes.
Provide support for payables, tax and treasury cycles.
Monitor day to day budget and non-budget spending activities and highlight any issues to the divisional budget controllers when necessary as to ensure the expenditure is within the approved budget and in line with business plan.
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Over the first three months, you are expected to take over the bookkeeping of the company, process monthly payroll, and take over key administrative tasks such as contract management, grant admin processing, and job postings. This role is predominantly remote, but you are expected to meet the team once or twice a month in person either in Singapore or KL.
Our Client is a Multinational Company and a top leader in its respective industry. Being a public listed MNC with over billions of revenues, they invest massive resources into their staff training programme to develop their people from the ground. They are currently looking multiple role of
Financial Analyst / FP&A Analyst, Business Analyst
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Our Client is a Multinational Company and a top leader in its respective industry. Being a public listed MNC with over billions of revenues, they invest massive resources into their staff training programme to develop their people from the ground. They are currently looking multiple role of