Finance Manager - Klang
Requirements
Bachelor’s degree in Finance, Accounting, Economics, or related field (Master’s or CPA preferred).
Proven experience (5+ years) in finance or accounting, with at least 2 years in a managerial role.
Strong knowledge of financial regulations, accounting principles (GAAP), and tax laws.
Proficient in financial software and Microsoft Excel (experience with ERP systems is a plus).
Excellent analytical, problem-solving, and decision-making skills.
Strong communication and interpersonal skills for interacting with stakeholders at all levels.
Ability to manage multiple projects and meet deadlines in a fast-paced environment.
Occasional travel may be required.
May require extended hours during peak financial reporting periods.
We are looking for a dynamic and strategic Finance Manager to lead our finance operations and drive data-informed decision-making across the organization. This role encompasses the development of forward-looking financial strategies, oversight of budgeting and forecasting processes, optimization of cash flow, and strict adherence to regulatory and compliance standards.
The ideal candidate will bring a strong background in financial management, exceptional analytical acumen, and demonstrated leadership capabilities in guiding high-performing finance teams.
Job Description;- Financial Planning & Analysis:
Develop and implement financial strategies that align with the Company’s goals.
Prepare, manage and analyze monthly, quarterly and annual budgets.
Conduct financial forecasting and variance analysis to track performance against financial goals.
Provide decision support through financial analysis for key business initiatives and projects.- Budgeting and Financial Reporting:
Lead the preparation of accurate financial statements, ensuring compliance with accounting standards.
Monitor and evaluate financial performance, identifying trends, risks and opportunities.
Oversee and coordinate annual financial audits, ensuring timely completion and regulation compliance.- Cash Flow Management:
Monitor and optimize cash flow, ensuring the Company maintains liquidity for operations and strategic investments.
Manage the Company’s working capital, including accounts receivable, accounts payable and inventory.- Risk Management:
Identify, and assess financial risks and develop mitigation strategies.
Ensure compliance with financial regulations and standards, including tax laws and corporate governance.- Team Leadership and Collaboration:
Lead and mentor a team of finance professionals, providing guidance, training and development opportunities.
Collaborate with other departments (such as marketing, sales and operations) to provide financial insight and support for strategic decisions.- Strategic Advisory:
Act as a business partner to management by providing financial insights and advice to drive business growth.
Evaluate investment opportunities, business mergers, acquisitions and other strategic initiatives.- Internal Controls and Process Improvement:
Establish and maintain internal financial controls to ensure the accuracy and integrity of financial data.
Drive continuous improvement in financial processes and systems to enhance efficiency.- Tax and Regulatory Compliance:
Ensure compliance with corporate tax filings and other regulatory requirements.
Manage relationships with external auditors, tax consultants and other regulatory bodies.
H&S Medical Benefits; Dental & Outpatient medical benefits.