assistant general manager

2 days ago


Kelana Jaya Selangor, Malaysia Koperasi Wawasan Malaysia Berhad (KOWAMAS) Full time

Key Responsibilities:

·  Lead and manage the corporate finance function, including financial planning & analysis (FP&A), budgeting, forecasting, cash-flow management and capital structure optimization.

·  Develop, maintain, and present comprehensive financial models (e.g. DCF / discounted cash flow, NPV/IRR analysis, M&A valuation models, scenario/stress testing).

· Perform financial due diligence, valuations, feasibility studies for projects, investments, funding proposals, capital raising, M&A, joint ventures, or other strategic transactions.

· Prepare management accounts, financial reports, board / executive-level presentations, business cases, and funding applications (e.g. for loan proposals, capital expenditure, restructuring).

· Provide strategic financial insights and recommendations to senior management / board to support business growth, funding, investments and business decisions.

· Collaborate with cross-functional teams (e.g. operations, business units, audit, external advisors, banks/lenders) to gather data, assumptions, and ensure financial integrity.

· Ensure compliance with relevant accounting standards, corporate governance, and internal control policies.

·  Mentor, guide, and possibly supervise junior finance/analyst staff; review their work and ensure high-quality deliverables.

Essential Qualifications & Experience:

· Chartered Accountant qualification (MIA/CPA or equivalent professional accounting/finance qualification).

· Proven experience (e.g. 5–10+ years) in corporate finance, financial modelling, valuations, DCF, business/financial analysis — ideally in a corporate, audit, banking/financial services, investment or consulting environment.

· Strong technical skills in Excel / financial modelling. Experience with other financial & reporting tools is a plus.

·  Solid understanding of corporate finance, capital markets, funding, debt/equity financing, cash flow, working capital, and financial reporting.

·  Ability to prepare high-level business cases, funding proposals, and present complex financial information in a clear, concise manner to senior management / board.

·  Strong analytical, strategic thinking, attention to detail and problem-solving skills.

·  Excellent communication and interpersonal skills — able to liaise with internal and external stakeholders (executives, banks/lenders, auditors, etc.).

· Integrity, professionalism, strong ethical values — given the sensitivity of corporate finance, funding and financial modelling tasks.

· (Optional/Preferred) Experience with M&A, capital raising, restructuring, dealing with banks/lenders, or working in financial institutions / GLCs / large corporates.

Personal Attributes:

· Results oriented, with ability to deliver under pressure and tight deadlines.

· High level of integrity, discretion and confidentiality.

· Proactive, self-driven, decisive, with strong commercial acumen and business mindset.

· Able to work independently but also collaborate as part of a leadership team and guide junior staff.


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