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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.
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.
Responsible for financial reporting and Sales controlling, budgets and forecasts. Ensures business partnership, high quality and timely reporting within framework of ARM (Accounting and Reporting Manual).
Based in our clients KL Accounting Center, you will be supporting the Company's US GAAP financial reporting, working closely with operational and corporate stakeholders in the region.
The role requires 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.
The role requires to perform payment run according to weekly payment schedule and perform the offsetting and bank recon to ensure ageing are up to date.
Fully in charge of accruing invoice processing according to company guidelines
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 Operation Manager to join our new and growing Global Business Services. The successful candidate will manage a team with 20-30 staffs (both direct & indirect) and oversee the operational delivery of RTR scopes in more than 15+ countries in APAC, Europe, US region entities
Supporting the Asia Pacific region, responsible for product category sales and margins reporting, including timely and accurate financial reporting, forecasting, planning and in-depth analysis on category, product line, customer, market levels. Ensure accurate financial information to support an informed decision-making process within marketing/categories. Business Partnering for Marketing.
This role requires you to be in charge of assisting the Head of Treasury in daily and adhoc matters for the company.
This role requires you to be in charge of assisting the Treasury Manager in daily and adhoc matters for the company.
A team lead with strong experience in end to end AP
To perform all Product Costing activities especially for German sites.
The Senior Treasury Analyst will report to the Head of Treasury and supervised by Treasury Manager in KL office.
The AP (Accounts Payable) Specialist is responsible for managing and processing the accounts payable transactions. Their primary role involves handling invoices, ensuring accuracy, and support in month end closing.
The Accounts Payable Specialist is responsible for processing invoices, managing vendor relationships, and ensuring timely payments.
The Accounts Payable Specialist is responsible to process invoices, managing vendor relationships, and ensuring timely payments efficiently and accurately.
Accounting Manager position overseeing the accounting function across the business.
A regional Accounts Payable specialist manages the end-to-end process of invoice receipt, review, and payment within a specific geographic area, ensuring compliance with company policies and regional regulations. Responsibilities also include vendor management, expense reporting, and collaborating with cross-functional teams to optimise processes and maintain accurate financial records.
FP&A (Financial Planning and Analysis) Analyst is a finance professional who plays a critical role in a company's financial management. Their primary responsibility is to analyze financial data, develop budgets, forecast future financial performance, and provide insights to support strategic decision-making.
An exciting Manager, Internal Controls & Process Improvement opportunity for a market leader in the industry.
Based in our KL Accounting Center, you will be supporting the Company's US GAAP financial reporting, working closely with business and operational stakeholders.
The General Ledger Team Lead is responsible for supervising and coordinating the day-to-day operations of the general ledger accounting team, ensuring accurate and timely recording of financial transactions and adherence to accounting principles and standards. They also collaborate with other departments to streamline processes, resolve issues, and support the preparation of financial reports for management and external stakeholders.
As a Finance, this role requires you to manage a team of 5, take full control of the audit, and enhance the organisation's accounting and finance functions. The role is reporting to the Regional Financial Controller.
Candidates are expected to exhibit analytical technical skills as well as exceptional communication skills to support the Peridot team. Candidates should be energetic, self-motivated, and a team-oriented individual with fresh ideas and innovative solutions who will thrive on challenge in a fast-paced, dynamic environment
The Distribution Accountant is responsible for managing freight costs across 45+ manufacturing and warehousing sites across Europe.
As a Senior Finance Manager at a well-known retail sports brand, your primary responsibilities involve overseeing and managing the financial aspects of the company's operations. This role requires a deep understanding of financial principles, strategic financial planning, and effective leadership skills. You will likely be involved in decision-making processes, providing financial insights to support business strategies. Additionally, collaborating with cross-functional teams, communicating financial performance to stakeholders, and implementing financial best practices are crucial aspects of this role.
Group Reporting Lead position overseeing the accounting function across the business.
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