Coordinate treasury functions, including banking matters and cash management activities.
Monitor Group cash flow (actual and forecast) on a weekly basis to support operational and funding needs, enhancing forecast accuracy.
Lead system change and automation initiatives to improve finance processes, reporting efficiency, and data accuracy.
Perform accounting operational duties and lead the monthly closing process, including management of intercompany transactions, balances and etc.
Supervise finance operations (AP, AR, and GL) and support staff performance management and development, ensuring compliance with MFRS and internal controls.
Manage financial aspects of project-based contracts including budgeting, cost tracking, revenue recognition, and margin monitoring.
Ensure compliance with tax regulations, including indirect taxes and corporate tax filings, as well as provide tax planning an...