Oversee the day-to-day financial operations across the Group.
Monitor and evaluate the Group s weekly cash flow.
Prepare and review monthly management reports and consolidated accounts analyzing actual performance against budget.
Review and verify daily payments to contractors consultants and overheads as well as petty cash for office expenses ensuring compliance with standard operating procedures and accounting policies.
Verify intercompany contractor and supplier invoices for accuracy and compliance.
Prepare update and evaluate project feasibility studies.
Compile financial data and perform analysis to support the business plan.
Oversee and enhance internal control processes across the Group.
Monitor and ensure compliance with all regulatory and taxation requirements including tax computations return submissions payments tax planning and SST reporting.
Coordinate with auditors for statutory audits and with tax agents for tax submissions.
Coordinate with bankers and manage the overall treasury functions.
Provide support on ad-hoc assignments for the Group as needed.
Requirements
Holds a professional qualification such as ACCA CPA or MICPA and is a registered Chartered Accountant with MIA.
Minimum of 7 to 10 years of relevant business experience including at least 5 years in a financial leadership position.
Experience in property construction or related industries is a plus.
Demonstrates strong integrity and honesty in all dealings.
A reliable team leader who fosters trust shares knowledge openly and acts as a mentor to others.
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