Job Responsibilities
- To assist for monthly closure of accounts AP & AR posting & monitoring tax reporting and fixed assets management; in accordance with statutory requirements and FRS.
- To assist on cash transactions to ensures a balanced account; forecasting and monitors cash flow in a weekly monthly quarterly and annual manner.
- To assist & prepare cash flow reports for upper management use identifying and evaluating variances with other departments to forecast timing and amount of future cash flows receiving wire transfers and handling outgoing wire transfers; as well as assisting in financial reporting.
- To check & verify supplier payment for payment execution in accordance to the Company standard procedures and timeline.
- Posting of transactions and billing out as per cost center.
- Assist on petty cash claim and processing.
- Ensure prompt issuance of debit note (interco) contractor billing and updating in accounts
- Assist to prepare and monitoring of GST and other tax department compliances
- To interface as liaison with bankers and regulatory authorities.
- Any other assigned role & responsibility as of and when required / needed by Supervisor / Superior
Job Requirements
Possess at least a Diploma or Bachelors Degree in Finance / Accountancy / Banking.- Proficiency in Mandarin BM & English
- At least 1 year(s) of working experience in relevant environment.
- Good knowledge of accounting standards & computer literate.
- Detailoriented with strong analytical skills integrity selfmotivated with high degree of
commitment and time pressure to meet deadlines and objectives - Ability to work independently under minimal supervision
Remuneration
Basic up to MYR 4000 (Based on experience)
Nearest LRT Station:
Glenmarie LRT
Consultant in Charge
Rodney Chong
Free Parking