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As the Accountant of the team, your main role is to support the company's financial reporting, month end closing, management reporting, budgeting and etc. In this role you will be a consolidation specialist that will be involved in bursa reports and group reports.
Process claims transactions within the required benchmarks for the APAC market following guidelines set for the issuance of client's insurance policies
This job requires you to be in charge of group wide tax planning ,tax strategy and tax transformation projects. You assist the CFO on day to day tax matters.
The Tax analyst'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 manager.
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.
A Specialist in Credit and Collections is responsible for managing a company's accounts receivable to ensure timely payment of outstanding invoices and to minimize bad debt.
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.
Maximizing cash management, facilitating cash flow financing, and serving as a facilitator for the investment of excess cash reserves.
Enhancing cash management, facilitating cash flow financing, and serving as a catalyst for investing surplus cash.
An exciting Senior Manager, Internal Audit & Risk Management opportunity for a market leader in the industry.
The Senior Accounts Payable (AP) involves managing the invoice and payment processes within a company.
The Senior Treasury Analyst will report to the Head of Treasury and supervised by Treasury Manager in KL office.
This role requires you to be in charge of assisting the Finance Director in daily and adhoc matters for the company.
This role is for ensuring the effective delivery of Order to Cash to the business. The role involves spearheading continuous improvement and automation initiatives.
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 candidate will be responsible for treasury activities, including cash management, creditor relations, and capital planning.
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 CFO in daily and adhoc matters for the company.
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.
An exciting Senior Manager, Internal Audit opportunity for a market leader in the industry.
This role entails independently overseeing a portfolio of audits, coordinating with internal and external stakeholders, and ensuring seamless statutory audit execution.
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.
Accounts Payable Assistant Manager is responsible for overseeing the organization's Accounts Payable processes. Primary role and responsibilities include managing the payment of bills and invoices, ensuring accuracy and timeliness in processing payments for the EMEA region. Incumbent needs to be able to work from 1pm-10pm (shift). Shift working will be compensated.
An exciting Assistant Manager, Risk Management opportunity for a market leader in the industry.
This position oversees financial closing, reporting, statutory and tax reporting, ensuring compliance with company policies. It holds responsibility for service performance, including monitoring third-party providers to ensure service levels are met.
As a Credit Controller, you will play an important role in ensuring the financial health of our organization by managing and controlling credit activities.
In the respective area of responsibility to deliver complex value-oriented services with adequate quality and in accordance with company accounting standards, regulations and guidelines. To participate in GBS local and/or global improvement projects and initiatives. Provide consulting and expert services for timely completion of month end closing process and SAP roll-out.
A cost accountant is a professional responsible for analyzing, interpreting, and reporting on financial data related to the cost of producing goods or services within an organization. They help management make informed decisions by providing insights into cost efficiency, budgeting, and pricing strategies.
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