Corporate Finance Controller

Details of the offer

We are seeking an experienced Corporate Finance Controller to lead the finance function as well as to deals with how corporations address funding sources, capital structuring, accounting, and investment decisions. Including encompasses aspects related to managing a company's financial resources and optimizing its value.
The successful candidate will be responsible for managing all aspects of financial management, day to day financial operations, document preparation, policy drafting, and collaboration with consultants to resolve any non-compliance issues. This role also requires a deep understanding of IPO listings, corporate finance, and accounting principles. The Corporate Finance Controller will work closely with all departments within the company, ensuring a cohesive and comprehensive approach to shape a company's financial health , growth and overall success.
Key Responsibilities: Managerial Accounting: Oversee and manage the company's financial accounts, ensuring accuracy and compliance with regulatory standards.Financial Analysis & Reporting: Prepare all necessary financial consolidation and reporting and ensuring they meet the standards of regulatory bodies.
Internal Control , Policy Drafting and SOP Development: Lead the drafting of policies and Standard Operating Procedures (SOPs) , ensuring they are comprehensive and understandable.
Capital Budgeting and investment decisions Corporate finance experts evaluate potential investments, assess risks, and determine the feasibility of capital projects.
Collaboration with Consultants: Work closely with external consultants to address and resolve any non-compliance (NC) issues
Risk Management Managing financial risks is crucial. Corporate finance professionals identify, assess, and mitigate risks related to currency fluctuations, interest rates, and market volatility.
Financial Planning & Forecasting Corporate finance involves creating short-term and long-term financial plans. This includes budgeting, forecasting revenue, and estimating expenses
Working Capital Management Efficiently managing working capital (current assets and liabilities) is essential. This includes optimizing inventory levels, managing accounts receivable and payable, and ensuring liquidity
Stakeholder Communication Effective communication with investors, shareholders, and other stakeholders is crucial. Corporate finance experience includes presenting financial results, participating in investor relations, and addressing queries
Requirements: Experience: At least [10 years] of experience in corporate finance with a proven track record of success.Professional Membership: Must be a member of the Malaysian Institute of Accountants (MIA) or equivalent in your jurisdiction.
Educational Background: A bachelor's degree in finance, accounting, or a related field. A master's degree or professional certifications (e.g., CPA, CFA) would be an advantage.
Skills:
Strong knowledge of IPO listing processes and regulatory requirements.Extensive experience in financial management and accounting.
Excellent drafting skills for policies and SOPs.
Ability to work collaboratively with internal teams and external consultants.
Strong analytical, problem-solving, and decision-making skills.
Personal Traits: Detail-oriented, proactive, with excellent communication and organizational skills.


Nominal Salary: To be agreed

Source: Grabsjobs_Co

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