Finance Manager - Kuala Lumpur, Malaysia - PARKROYAL COLLECTION Kuala Lumpur

    PARKROYAL COLLECTION Kuala Lumpur
    PARKROYAL COLLECTION Kuala Lumpur Kuala Lumpur, Malaysia

    2 weeks ago

    Default job background
    Full time
    Description

    The Role

    As the Finance Manager of PARKROYAL COLLECTION Kuala Lumpur , one is fully responsible for consolidation account of the hotel. To ensure all the financial transactions and information are properly recorded.

    Primary Responsibilities include (but not limited to):

    · Responsible for accurate and timely preparation and submission of monthly/quarterly closing of group consolidated accounts

    · Compile and extract financial data of group.

    · Manage the Interco control compliance

    · Overseeing the audit process for the group. Assist in the preparation of reports and disclosures in the Annual Report.

    · Estimate and track tax returns

    · Compile and prepare annual consolidation budgeting and forecasting.

    · Possess sound and strong technical knowledge in handling Group Consolidation Accounts.

    · Proactively drive and liaise with hotel Finance to complete accounts closing, variance analysis and reporting timely.

    · Keep abreast of financial reporting standard

    · Requirements and other statutory requirements; ensure strict compliance and adherence.

    · Liaise with external auditors, tax consultants, statutory bodies, bankers, company secretary and corporate office for audit/tax/banking/legal matters.

    · Always be alert and keep track of important datelines, resourceful and proactively complete required working papers.

    · Undertake any other project and ad-hoc assignments as and when required by the Director of Finance and SG corporate office

    Talent Profile

  • Minimum 3 years working experience in the Audit/ Accounting firm
  • Minimum 1-years working experience in a Hotel
  • Good communication skills (English and Bahasa Malaysia are a MUST)
  • Diplomatic & people person.
  • Minimum of SPM or Degree or equivalent in Accounts