Develop and execute the Group's financial strategy aligned with its growth and IPO objectives.Provide financial insights and data‑driven recommendations to the Board and senior management to support decision‑making, improve profitability, and drive shareholder value.Evaluate and execute investment opportunities, including mergers & acquisitions, joint ventures, and strategic partnerships.Partner with business leaders to drive strategic and operational planning across all business units.Financial Planning, Budgeting & Analysis
- Lead the annual budgeting, forecasting, and long‑range planning processes.
- Analyse financial performance against budgets, KPIs, and industry benchmarks, identifying risks and opportunities.
- Implement cost optimisation and resource allocation strategies to strengthen operating leverage.
- Conduct scenario analysis and financial modelling for new ventures, outlet expansion (e.g., Ayam Gepuk Pak Gembus scaling from 80 to 200 outlets), and capital structure decisions.
- Oversee accurate and timely preparation of consolidated group accounts and quarterly results.
- Ensure compliance with MFRS, IFRS, taxation laws and internal financial policies.
- Liaise with external auditors, tax agents, bankers, and regulators to ensure best practice compliance.
- Maintain strong internal controls and safeguard company assets against financial risks.
- Manage the Group's capital structure and funding strategies, including debt, equity, RCPS, and sukuk issuance.
- Lead financing negotiations, optimise loan management, and plan capital investments.
- Oversee group cash flow, liquidity, and working capital, ensuring financial sustainability and operational continuity.
Investor & Stakeholder Relations
- Serve as a key financial spokesperson for the Group to investors, analysts, bankers, and regulators.
- Support fundraising activities, investor communications, and financial presentations to the Board and shareholders.
- Coordinate corporate exercises, investor relations matters, and the Group's Annual Report statements.
- Build trust and confidence with external stakeholders to strengthen the Group's reputation ahead of IPO.
Operational Excellence & Systems Improvement
- Evaluate and continuously improve financial processes, controls, and systems to ensure scalability.
- Provide timely project cost reports, margin analysis, and management dashboards to support operational decision‑making.
- Maintain a result‑oriented approach to ensure deadlines and initiatives are delivered consistently.
- Lead, mentor, and develop the Group finance and accounting team, fostering a high‑performance culture.
- Build internal capabilities across financial reporting, tax, compliance, treasury, and investor support.
- Ensure succession planning, training, and staff retention for a sustainable finance function.
- Oversee credit control policies, ensuring robust management of receivables and timely collections.
- Monitor project‑level collections and enforce discipline in working capital management.
- Regularly review credit risk exposure and recommend corrective actions.
Job Requirements / Qualifications
Education & Professional Qualification
- Bachelor's degree in Accounting, Finance, or related field .
- Professional qualification preferred : CPA, ACCA, or equivalent .
- Strong knowledge of accounting standards ( MFRS / IFRS ) and financial regulations.
Experience
- Minimum 5–7 years of experience in accounting and finance, preferably in the F&B or hospitality industry .
- Proven experience in financial reporting, budgeting, forecasting, and cash flow management .
- Experience with ERP systems (SAP, Oracle, MYOB, or similar).
- Experience managing audits and regulatory compliance .
Seniority level
- Mid‑Senior level
Employment type
- Full‑time
Job function
- Finance and Accounting / Auditing
Industries
- Food and Beverage Services
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