Lead all finance, treasury, and cash flow management activities, ensuring effective working capital optimisation and alignment with group policies.
Oversee financial reporting, statutory compliance, and tax matters, including corporate tax, SST/GST, withholding tax, and external audits.
Drive financial planning, budgeting, forecasting, and strategic initiatives to support business growth and operational objectives.
Strengthen governance, internal controls, and risk management frameworks to ensure compliance and safeguard company assets.
Manage costing activities, including standard costing maintenance, operational performance analysis, and financial insights to support decision-making.
Act as the key finance business partner to local and regional management teams, providing financial analysis, recommendations, and performance reporting.
Oversee IT systems, data integrity, and cybersecurity initia...