Company Overview
Subsidiary of a publiclisted Malaysian property developer. The company operates in the management consulting services sector offering a comprehensive range of property management solutions.
Your Responsibilities
- Supervise the daily operations of the finance team ensuring the timely and accurate preparation of financial reports management reports cash flow statements and financial budgets.
- Review monthly financial summaries analyze performance against budget and prepare relevant meeting materials.
- Ensure the timely submission of GST returns to the Customs Department.
- Oversee accounting compliance ensuring adherence to GST legislation SMA 2013 and internal SOPs.
- Assist in developing implementing and monitoring accounting procedures to uphold company policies and safeguard assets.
- Maintain strong internal controls for General Ledger Accounts Payables and Accounts Receivables.
- Oversee collections and treasury functions ensuring accurate and timely processing of financial records.
- Monitor and ensure prompt payments and petty cash disbursements aligning with project policies.
- Manage cash flow planning and banking operations to ensure financial stability.
- Collaborate with other departments and senior management to coordinate financial activities and meet performance targets.
- Act as the liaison for external auditors and Group Tax ensuring compliance with audit and statutory regulations.
- Communicate with bank representatives for transaction processing and payment confirmations.
- Review and verify audited financial statements prepared by external auditors.
- Prepare AGM presentation slides and actively participate in JMB MC meetings and AGMs.
- Support adhoc tasks assigned by the Head of Department (HOD) or immediate superior.
Requirements
- Bachelor of Degree or equivalent
- 3 5 years full sets of accounts experience
- Must be from the property management industry
full sets of accounts, property management