Manager / Assistant Manager, Finance
Gagasan Nadi Cergas Berhad
- Petaling Jaya, Selangor
- Tetap
- Sepenuh masa
- Candidate must possess at least a SPM, Professional Certificate, Diploma, Advanced/Higher/Graduate Diploma, Bachelor's Degree, Post Graduate Diploma, Professional Degree, Finance/Accountancy or equivalent.
- Required skills: Group Consolidation, Financial Reporting, Account Reconciliation, Tax Compliance, Financial Analysis, Forecasting, Auditing
- Minimum 5 year(s) of relevant working experience in the related field is required for this position (preferably with Construction industry).
- Well organized, detailed, analytical, systematic, cost conscious, good interpersonal and communication skills.
- Proficient in accounting system(s) and MS Office package (Excel, etc.)
- Prepare quarterly and annual consolidated financial statements for the group in compliance with Malaysian Financial Reporting Standards (MFRS) and the Ace Market Listing Requirements of Bursa Malaysia Securities Berhad.
- Prepare board paper for presentation of quarterly financial results to Audit and Risk Management Committee (ARMC) meeting.
- Prepare quarterly financial results and provide insightful commentary on financial performance for announcement to Bursa Malaysia.
- Supervise and provide guidance to junior team members to prepare consolidated financial statements and its supporting schedules to ensure accuracy.
- Liaise with external company secretary for the submission of audited financial statements in XBRL format and annual return.
- Coordinate and manage the external audit process for consolidated financial statements.
- Prepare financial statements of the group and the company.
- Review and prepare draft provisional tax computation for financial reporting as well as tax estimates.
- Liaise with external tax agent for preparation of tax return and its computation, and ensure prompt payment for monthly tax instalments and balance of tax payable.
- Support corporate exercises including acquisitions and assist in due diligence processes.
- Assist fund raising activities and handle opening bank accounts.
- Involve in corporate planning and investors relation matters.
- Assist in the collation and compilation of information for credit rating review/analysis.
- Prepare the annual budget in collaboration with departments and subsidiaries.
- Consolidate the group's annual budget, and compile quarterly group funding schedule.
- Annual Leave, Sick Leave, Examination Leave, Compassionate Leave
- Group Term Life and Disability Benefits Scheme
- Outpatient Medical Scheme (include Dental)
- Professional Membership
- Others Benefits: Annual Leave, Medical and Hospitalization Leave, Annual Bonus, Medical Insurance, Performance Bonus, EPF / SOCSO / PCB,5 Working Days, Company Trip, Training Provided
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