Job Description

  • Prepare timely and accurate financial reports including Income Statements, Balance Sheets and Cash Flow Statements.
  • Develop and manage financial forecasts, budgets and financial models; analyze and report variances to facilitate management decision-making.
  • Develop detailed cash flow forecasts and maintain optimal cash reserve to meet operational requirements.
  • Responsible for the computation and submission of tax return and other tax matters.
  • To review operational procedures and suggest internal controls from time to time for optimum operational level.
  • To ensure compliance to all statutory and regulation requirements.
  • To perform other assignment as assigned by superior.

Requirements

  • Bachelor’s Degree in Finance/Accountancy or equivalent.
  • At least 8 years’ experience handling full sets of accounts, with 3–5 years in the property development industry.
  • Candidates with audit experi...

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