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Set up and lead the local team in managing full spectrum of finance related activities
You're responsible for overseeing all financial activities of the organization and providing strategic financial leadership to support the achievement of the company's goals and objectives. This role involves analyzing financial data, developing financial strategies, and guiding decision-making processes to maximize profitability and ensure long-term financial sustainability.
This job requires you to be in charge of the whole Finance department. You will be managing a team of close to 30 headcounts and reporting to the Group CFO
This job requires you to be in charge of the Finance department and Project team. You will be managing a team of close to 6 headcounts and reporting to the MD.
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.
This is a left right hand person to the CFO for driving the strategic direction and performance management processes of the organization. This position plays a key role in developing and implementing strategic initiatives, monitoring business performance, and providing insightful analysis and reporting to support decision-making at all levels of the organization.
This job requires you to be in charge of the full spectrum of tax which includes tax reporting, tax compliance,tax planning projects and tax advisory for the APAC region. You will assist the Finance Director on day to day tax matters.
This role requires you to be in charge of assisting the CFO in daily and adhoc matters for the company.
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.
Oversees the entire financial accounting process for the organization. Ensuring accurate financial reporting, manage cash flow, and lead a team to handle tasks like accounts payable/receivable and fixed asset management.
Oversee all aspects of treasury operations, from planning and managing cash flow to mitigating foreign exchange risks. You'll also manage bank relationships and preparing cash flow forecasts.
This job requires you to be in charge of full set of accounts including costing. You will managing a team of 3 person while assisting the CFO on day to day ad hoc finance matters.
The role is part of GBS Corporate Finance Team. The primary responsibility of the role is to proactively drive the delivery of Operating and Free Cash Flow, Working Capital Management, Accounting Month-end Closure for financial reporting. The role includes delivering cash flow targets for the Half Year and Year End Reporting, monitoring collection and payment trends, managing overdue collections, identifying funding options for the Company.
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
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