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The regional accountant is responsible for managing financial transactions, preparing financial reports, and ensuring compliance with local regulations within a specific geographic area. This role involves overseeing the financial activities of multiple locations and collaborating with various stakeholders to maintain accurate and efficient accounting processes.
As the key person in charge of Financial Accounting, you will be hands on in this position, preparing financial reports, managing cost strategies and improving internal controls.
Accounts Payable Manager oversees the ongoing management of China & Hong Kong, & Taiwan portfolio, adhering to service level agreements and quality standards defined by the global standards. They are responsible for ensuring proper execution of group financial policies within their scope and driving innovation and continuous improvement to enhance services and optimize costs.
The role requires to perform payment run according to weekly payment schedule, perform the offsetting and bank recon to ensure ageing are up to date, responding to email enquiries at a timely manner and resolving any 3 way-matching issues to ensure all invoices are captured for payment to be processed upon due date.
Conducts internal audit assignments in the APAC region
As a Treasury Analyst in shared services, you will be responsible for managing various financial aspects related to the treasury function across multiple departments or business units within the organization
Regional Accountant will be responsible for providing financial oversight and support to our regional offices, ensuring accurate and timely financial reporting. This role plays a vital role in our financial success and requires a strong understanding of accounting principles and a commitment to excellence.
Leading the finance team by nurturing their capabilities, fostering a proactive culture of compliance, and cultivating a focused, team-oriented environment to enhance their effectiveness as business partners within the group.
Taking charge of the treasury for SEA and Australia, you will be responsible for cash & FX management.
Utilizing accounting principles and procedures, the application involves analyzing financial data, crafting precise and timely financial reports and statements, and enforcing proper accounting controls to maintain accuracy and integrity.
This role requires a result driven, focused individual with excellent communication skills and high self-motivation. He or she must be able to work independently under broad managerial supervision. He/She must be able to encourage and support other analysts and associates within the Credit/Payable team in achieving team delivery, and positively engage with others to continuously improve business processes and performance.
Being part of the Finance Pricing, monitoring compliance with company pricing policy and providing clear and accurate financial information to management and sales leaders for informed decision-making
This role is responsible to manage the finance related task for Korea market. Hence it is required to speak, read and write in Korean.
This role requires you to manage financial matters in the company
As a Master Data Management (MDM) Specialist specializing in finance within our shared services team, you will be entrusted with ensuring the accuracy, consistency, and reliability of financial master data critical to our operations. Your role will be pivotal in establishing robust data governance frameworks, executing data quality protocols, and supporting financial initiatives aimed at optimizing processes and informing strategic decisions.
Responsible for all accounting aspects of projects, and fixed assets in the SAP project
This role requires you to be in charge of Treasury and Account Payable. You will be assisting the CFO in managing cash flow, loan financing and debt facilities.
Are you looking for a new challenge in your career? A great opportunity have arise for those looking for a change and development in their careers. A leading oil & gas company is looking for like minded individuals to join them in their expansion plan.
As an Assistant Manager, you will be leading and working closely with the management team on feasibility and valuation analysis - also building financial models.
An exciting Senior Executive, Internal Audit opportunity for a market leader in the industry.
Responsible for credit collections of outstanding accounts receivable from the existing customer base and all other aspects of collections, cash allocation, support in disputes customer resolutions and Autobank.
RTR (Record to Report) Associate typically refers to a role within finance and accounting departments of organizations. The job scope can vary depending on the specific company and its processes.
As the Finance Manager of the team, you will be involved in managing and leading the finance team, taking responsibility for functions such as management accounting, treasury, and tax. Additionally, you will play a crucial role in improving finance functions, overseeing treasury operations and statutory reporting, while also spearheading efforts to enhance the efficiency of the accounting system and internal controls.
The Accounting Manager will play a key role in overseeing the financial operations. You will be responsible for ensuring accurate and timely financial reporting, managing a team of accounting professionals, and implementing strong internal controls.
Are you looking for a new challenge in your career? A great opportunity have arise for those looking for a change and development in their careers. A leading MNC in heavy industrial is looking for like minded individuals to join them in their expansion plan.
Our primary focus will revolve around Statutory reporting, ensuring Balance Sheet integrity, managing Cash Agenda, overseeing Transfer Pricing, and maintaining the Financial Control Framework. You'll provide support to one or more markets and collaborate closely with fellow Finance professionals
A team lead with strong experience in end to end AP
Your primary focus will be on Statutory Reporting, Balance Sheet Governance, Direct and Indirect tax support, Cash Agenda, Transfer Pricing and FCF (Financial Control Framework). You will be supporting one or more markets and get along with other Finance colleagues including CFOs, Country Business Partners and MC Controller.
This role is responsible to review the content for Korea market. Hence, it is required to speak, read and write in Korean.
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