Browse our jobs and apply for your next role.
The right candidate is just a few clicks away.
PageGroup changes lives for people through creating opportunity to reach potential.
If you have any questions, we’re here to help.
As the Finance Manager of the team, you will be responsible to oversee daily accounting activities, provide sound advice to management teams and to lead the business to achieving goals.
We are seeking an experienced General Ledger (GL) Manager to lead and oversee the GL accounting team in Shared Service Centre. This role is responsible for managing the end-to-end general ledger accounting processes, including month-end close, financial reporting, and compliance with accounting standard
Provide support in both Accounts Payable and Accounts Receivable functions
Develops and implements strategies to ensure multinational companies comply with tax regulations and optimize their intercompany pricing arrangements.
The Tax Manager's main responsibilities include overseeing and leading the tax and fiscal affairs for the business across countries. You will support local, regional, and corporate managerial decisions through managing transfer pricing matters, including TP aspect of the business reorganisation, and issue resolutions for various entities.
This role involves preparing management reports using data analysis and business intelligence tools, conducting market research and competitive analysis to identify growth opportunities, and coordinating marketing efforts across various brands. Additionally, it includes financial analysis, supporting business development initiatives, and participating in cross-functional project management to ensure timely and budget-compliant execution of strategic projects
The role involves providing financial leadership and strategic guidance to enhance commercial initiatives, focusing on financial analysis, planning, and operational collaboration. Key responsibilities include developing budgets and forecasts, optimizing revenue and profitability, supporting pricing strategies, and ensuring compliance with financial policies while identifying process improvements.
A finance professional skilled in managing key financial tasks, including matching invoices with purchase orders, processing credit applications, and uploading invoices to the system.
The applicant for this role will be supporting the account payable processing for the assigned entities.
This role is primarily responsible for the O2C collections & cash application function for APAC regions (SEA & AU). Leading a team of collectors in a hands-on manner, on day-to-day credit control activities. To build and motivate team members to achieve their personal and organizational goals.
This role is the primary owner of the end-to-end Order to Cash Collections and Cash Application function of APAC; responsible for developing and implementing strategies to effectively manage and collect outstanding debts
This role is primarily responsible for the overall Billings function of the APAC region.People management: responsible for the overall performance of the team (including offshore team members and outsourced firms), monitor their performance, provide coaching and timely feedback to team members.
As a Finance Manager, you will be leading the commercial team covering entities across the group
As the Credit Controller of the team, you will be responsible to oversee the daily operations of the department, improve collections, manage debt recovery, perform credit checks and etc.
An exciting Finance Manager opportunity for a market leader in the industry.
The Assistant Tax Manager's main responsibilities include overseeing and leading the tax and fiscal affairs for the business across countries. You will support local, regional, and corporate managerial decisions through tax compliance, tax audit support, tax planning, transfer pricing, tax accounting and assisting the tax head.
The role involves coordinating and consolidating financial reports and schedules for the group divisions, ensuring timely and accurate submissions for management meetings and compliance with Group policies. Additionally, it includes assisting in the preparation of strategic financial documents and budgets, consolidating forecasts and cash flow reports, and overseeing general compliance activities across all regions.
This job requires you to be in charge of the Commercial Finance and Costing spectrum. You will be assisting the Head of Controlling to maintain smooth operation of the Controlling Team.
You'll be involve in developing strategic and operational plans by analyzing market trends, consumer behavior, and financial data. It includes assessing risks and opportunities, translating strategies into actionable business plans, and collaborating with commercial teams to achieve financial targets. Involves scenario modeling, evaluating competitors, and supporting decision-making with insightful financial analysis to drive business performance.
The applicant for this role Will oversee statutory reporting, balance sheet governance, cash management, transfer pricing, and the Financial Control Framework (FCF), supporting multiple markets and collaborating with cross functional teams and business partners. Your role includes leading a team of analysts to manage financial processes, regulatory submissions, and ongoing process improvements in close coordination with business stakeholders.
As the Senior Finance Manager of the team you will be responsible to manage the full spectrum of finance while also managing project funding, treasury, and project controlling for the business.
As the Group Finance Manager of the team, you will be responsible for all group finance related matters including but not limited to bursa reporting, consolidation, treasury, taxation and etc.
The primary role of a Master Data Analyst is to handle and analyze extensive data sets, ensuring the accuracy, consistency, and integrity of data within SAP.
As the Head of Finance of the team you will be responsible to oversee the full spectrum of finance & accounting, including being involved in strategic business decisions, overseeing operations and etc.
An exciting Manager, Internal Audit opportunity for a market leader in the industry.
An exciting Senior Manager, Risk Management opportunity for a market leader in the industry.
The Business Process Analyst is responsible for ensuring the accuracy and integrity of Finance Master Data, including key data structures such as the Chart of Accounts (COA), Financial Data Structure (FDS), and other harmonised data sets. This role focuses on implementing controls and approvals to ensure that financial data is properly maintained, accurately reported, and compliant with internal financial standards and statutory regulations.
The role involves assisting with month-end closing activities for product costing and accruals, preparing journal entries, and compiling data for monthly projections. Responsibilities include updating plant expense tracking, simulating product costings for new projects, monitoring cost-saving initiatives, and providing costing information for item code creation and other ad-hoc requests.
The main responsibility of this role is to manage Product Costing activities and support Group Management and Statutory Reporting according to our customer agreements. This includes providing financial information for Sales & Operation Planning meetings, forecasts, budgets, and actuals. The role involves coordinating data inputs, running the forecasting process, preparing financial information.
Create Job alert to receive Accountant Malaysia jobs via email the minute they become available
Submit your CV to register with us and we will contact you if a suitable role becomes available.