Assistant Manager-Finance
Subang Jaya
Responsibilities:
- Manage and lead the account team on daily accounting tasks to ensure standardization of accounting procedures
- Assist in month-ends quarter-ends and year-end financial closing and also prepare related reports as per Groups requirement
- Monitoring inter-company transactions balances and reconciliations
- Daily cash flow monitoring and preparing cash flow projections.
- Monitoring e-invoicing submission and reconciliations on monthly basis
- Responsible to prepare the financial statements reports and forecasts in compliance with financial reporting standards
- Assists in mid-year forecasting and yearly budgeting
- Dealing with SST transactions verification reconciliation and report submission on monthly basis
- Assist in tax returns and payments
- Coordinate with bankers auditors tax agents and related government bodies as required
- Handle tasks or ad-hoc assignments as required by management
Requirements:
- Candidate must possess at least a Professional Certificate Degree in Accounting
- Required language(s): Chinese Bahasa Malaysia English
- At least 3-4 years of working experience in related fields is required for this position
- External audit experience would be an added advantage
- Ability to work effectively both independently and as a team member
- Required skill(s): Ms Office & related accounting system experience
Assistant Manager-Finance Subang Jaya Responsibilities: Manage and lead the account team on daily accounting tasks to ensure standardization of accounting procedures Assist in month-ends quarter-ends and year-end financial closing and also prepare related reports as per Groups requirement Monitori...
Assistant Manager-Finance
Subang Jaya
Responsibilities:
- Manage and lead the account team on daily accounting tasks to ensure standardization of accounting procedures
- Assist in month-ends quarter-ends and year-end financial closing and also prepare related reports as per Groups requirement
- Monitoring inter-company transactions balances and reconciliations
- Daily cash flow monitoring and preparing cash flow projections.
- Monitoring e-invoicing submission and reconciliations on monthly basis
- Responsible to prepare the financial statements reports and forecasts in compliance with financial reporting standards
- Assists in mid-year forecasting and yearly budgeting
- Dealing with SST transactions verification reconciliation and report submission on monthly basis
- Assist in tax returns and payments
- Coordinate with bankers auditors tax agents and related government bodies as required
- Handle tasks or ad-hoc assignments as required by management
Requirements:
- Candidate must possess at least a Professional Certificate Degree in Accounting
- Required language(s): Chinese Bahasa Malaysia English
- At least 3-4 years of working experience in related fields is required for this position
- External audit experience would be an added advantage
- Ability to work effectively both independently and as a team member
- Required skill(s): Ms Office & related accounting system experience
View more
View less