About the Role
We are partnering with an established organization looking for a high-caliber finance professional to oversee treasury operations, financial reporting, and tax compliance. This role offers an excellent platform to manage full-set accounting across a portfolio of entities while taking charge of key banking relationships and statutory requirements.
Key Responsibilities
1. Financial Reporting & Portfolio Management
- Maintain independent and accurate full-set accounts for a portfolio of companies in compliance with relevant accounting standards.
- Lead month-end and year-end closing cycles, ensuring management accounts are audit-ready within stipulated timelines.
- Serve as the primary liaison for external auditors, reviewing draft reports, resolving discrepancies, and ensuring statutory statement integrity.
2. Statutory & Tax Compliance
- Prepare and submit tax estimations (CP204 / CP204A) and annual tax filings (Form C), including forward-looking tax computations for upcoming Years of Assessment (YA).
- Ensure timely execution of all property development-related filings and submissions.
- Monitor and manage the e-invoice portal to ensure all transactions comply with LHDN requirements.
Requirements
- Degree in Finance, Accounting, or professional accounting qualification (ACCA, CPA, MIA, or equivalent).
- Mandarin proficiency is required (spoken & written) to liaise effectively with Mandarin-speaking stakeholders, clients, and partners.
How to Apply
If you are interested in exploring this opportunity or would like to learn more, click Apply Now or send your updated CV directly to us.
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