Job Scope :
- Develop and maintain detailed financial models to forecast revenues, expenses, and cash flows.
- Collaborate with various departments to gather relevant data and assumptions for budgeting and forecasting purposes.
- Analyse historical trends and external factors to provide accurate projections for future financial performance.
- Regularly review and update forecasts to reflect changes in the business environment and operational conditions.
- Prepare budgets, forecasts, and variance analysis reports to monitor and optimize the company’s financial performance.
- Assess investment opportunities using techniques such as net present value (NPV), internal rate of return (IRR), and payback period analysis.
- Manage relationships with lenders, investors, and financial institutions to secure financing and maintain a strong credit profile.
- Identify, assess, and mitigate financial risks that may impact the company’s profitability, liquidity, and solvency.
- Prepare and analyse financial statements, including income statements, balance sheets, and cash flow statements, in accordance with accounting standards and regulatory requirements.
- Ensure timely and accurate reporting of financial results to internal and external stakeholders, including management, investors, and regulatory authorities.
Qualifications that Make You Stand Out:
- A Bachelor’s degree in Corporate Finance, Business / Professional Qualification (ACCA/ MICPA/ CIMA).
- 5 -7 years of hands-on experience in Corporate Finance.
- Mastery of NPV, IRR, Payment Cash Flow, and ROI.
- Proven track record inĀ feasibility studies, financial modelling, and project finance advisory.
- Leadership prowess to motivate your team to reach high-performance standards.
- In-depth knowledge of industry trends, financial markets, and regulatory frameworks.
Job Category: Permanant
Job Type: Full Time
Job Location: petaling jaya