Manager, Finance
Sime Darby Property · Petaling Jaya, Selangor, Malaysia
Apply & track with Apply EdgeJob Roles & ResponsibilitiesFinancial Reporting and AccountingPrepare and ensure timely and accurate monthly financial statements for the fund(s)Prepare monthly management reporting with meaningful financial analysis and insights.Review monthly balance sheet reconciliations and ensure timely clearance of reconciling items.Oversee general accounting processes to ensure accuracy, completeness, and compliance with accounting standards.TaxationManage timely and accurate submission of corporate tax and indirect taxes (including SST / GST, where applicable).Liaise with tax agents and advisors on tax matters, filings, and compliance issues.Budgeting and ForecastingPrepare and review annual budgets and forecasts for the fund(s).Provide regular cash flow projections, variance analysis, and financial reports for management and group reporting.Monitor actual performance against budget and forecasts, highlighting key risks and opportunities to support decision-making.Audit and Statutory ComplianceLiaise with external auditors and manage the audit process.Review statutory financial statements prepared in accordance with MFRS and other applicable standards.Ensure timely completion of audits and resolution of audit findings.Treasury and Cash Flow ManagementReview capital call projections and cash flow forecasts during budget preparation and throughout the year.Monitor fund liquidity and ensure sufficient cash is available to meet operational and investment requirements.Assist in reviewing financing documents, loan facilities, and drawdown requirements.Develop and maintain finance policies, procedures, and controls to safeguard fund assets and ensure prudent cash management.Internal Control and ComplianceEnsure financial transactions are executed in accordance with Group policies and approved procedures.Identify control gaps and recommend improvements to strengthen internal controls and governance frameworks.Education/ Professional QualificationDegree in Accounting, Finance or related discipline.Professional certification (eg. CPA, CMA) is preferred.Minimum 5-7 years of relevant experience, preferably in private funds, investment entities, or fund administrationStrong knowledge of accounting standards, financial regulations and best practicesProficiency in financial software and ERP systemsStrong analytical, problem-solving, communication, and organisational skills.Hands-on, detail-oriented, and comfortable working in a lean, high-accountability environment.