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Reporting to the Finance Manager, you will be the custodian of the company's financial integrity across its group of entities. You will manage the full spectrum of accounting operations while stepping into a vital Finance Business Partnering role. This is an ideal position for a commercially minded finance professional who wants to move beyond routine bookkeeping, partner with cross-functional leaders, and directly influence the strategic direction of a high-growth fintech.
Job Responsibility:
Manage end-to-end accounting functions (AP, AR, and GL) across multiple corporate entities within the group
Perform intercompany billing, reconciliations, and assist in consolidated financial reporting
Ensure timely and accurate monthly, quarterly, and annual financial closings in accordance with MPERS/MFRS standards
Oversee statutory compliance, including the preparation and filing of SST, corporate tax, and other regulatory submissions for all entities
Liaise with external auditors, tax agents, and company secretaries to ensure smooth audit and compliance processes
Act as a trusted financial advisor to cross-functional departments (e.g., Product, Sales, Operations), bridging the gap between finance and commercial operations
Evaluate the commercial viability of new fintech products, pricing strategies, and market expansion initiatives
Translate complex financial data into clear, actionable business insights for non-finance stakeholders
Drive process improvements, automate financial workflows, and identify scalable solutions to support business growth
Monitor daily cash flow positions across all entities to ensure sufficient liquidity for operational needs and settlement obligations (highly critical in the payment solutions space)
Manage banking relationships and oversee the reconciliation of high-volume transaction data from payment gateways
Assist in treasury planning to optimize working capital and fund allocation across the group
Support the management team in developing annual budgets, rolling financial forecasts, and long-term strategic plans
Perform comprehensive variance analysis (Actual vs. Budget) to identify trends, mitigate financial risks, and uncover opportunities for cost optimization
Build and maintain financial dashboards and management reports to guide executive decision-making
Requirements:
Bachelor’s Degree in Accounting, Finance, or a related field
Professional qualifications (ACCA, CPA, MIA) are highly desirable
Minimum 3–5 years of relevant experience, including hands-on experience handling full sets of accounts for multiple entities
Prior experience in Fintech, E-commerce, or high-volume transaction environments is a distinct advantage
Strong command of accounting standards and tax regulations (SST/Income Tax)
Proficiency in accounting software (e.g., Xero, SQL, QuickBooks) and advanced Microsoft Excel skills (Pivot Tables, VLOOKUP, complex financial modeling)
Strategic Mindset: Proven ability to think strategically, solve complex problems, and align financial goals with broader business objectives
Communication: Excellent interpersonal skills with the ability to challenge, influence, and partner effectively with stakeholders at all levels
Agility: Ability to work independently in a dynamic, decentralized, and fast-changing startup environment
Integrity: High integrity and confidentiality, particularly when handling sensitive financial and commercial data