1. General Ledger & Financial Closing
- Ensure monthly financial closing and General Ledger updates are completed accurately and on time.
- Review coding expense reports and payment requisitions prior to processing; ensure correct cost center allocation.
- Perform journal entries and verify transaction accuracy in the system.
- Ensure all transactions comply with internal finance policies and procedures.
- Maintain detailed schedules supporting major ledger accounts and reconcile with GL balances.
2. Accounts Payable & Transaction Processing
- Perform 3-way matching (Invoice PO Goods Receipt) before processing vendor payments.
- Create and process AP transactions in Oracle system (PO CA RM).
- Verify completeness of supporting documents (PR PO CA etc.) from requesting departments.
- List and monitor accrued expenses on a monthly basis.
- Prepare and control intercompany transactions and debit notes.
- Process student invoices and adjustments when required.
- Input payments and ensure proper documentation and approvals.
3. Tax Administration
- Review and code tax-related transactions.
- Reconcile tax accounts and maintain prepaid tax accounts (WHT 22 23 26 Final Tax).
- Prepare and process tax payments with proper approval.
- Prepare and submit monthly tax returns (SPT Masa) to DGT.
- Prepare tax invoices and ensure timely issuance.
- Recap and print withholding tax slips (bukti potong) and notify vendors.
- Ensure overseas vendors COD documentation is complete.
- Monitor updates on tax regulations and ensure compliance.
4. Fixed Assets Management
- Ensure proper documentation (Capex forms) for asset purchases.
- Record down payments and asset capitalization accurately and timely.
- Calculate monthly depreciation in accordance with company policy and tax regulations.
- Reconcile Fixed Asset Register with General Ledger.
- Input and maintain asset records in the system.
5. Budgeting & Financial Reporting
- Monitor and control budget utilization for assigned division/location.
- Coordinate with budget owners regarding unrecorded or pending costs.
- Prepare monthly financial reports for management.
- Ensure revenue and expenses are recorded in accordance with COA.
- Support preparation of Management Reports (MR) Outlook and budget data.
- Assist in audit preparation and provide required financial documentation.
Administrative & Coordination Support
- Coordinate with academic and other departments regarding billing adjustments and event invoicing.
- Process invoice scheme revisions when requested.
- Support accreditation audit and compliance documentation.
- Perform general finance administration including emailing approvals documentation filing and system updates.
Qualifications :
- Minimum Bachelors Degree in Accounting Finance or any related major.
- Minimum 3 years of experience in related position
- Excellent communication skills.
- Excellent Microsoft Office skills
- analytical thinker with strong investigative and problem-solving skills.
- Outstanding attention to detail with excellent organizational skills.
Additional Information :
Please note that this position is open for talent pooling. We will contact you should a suitable opportunity become available. Thank you for your interest in our school.
Remote Work :
No
Employment Type :
Full-time
1. General Ledger & Financial ClosingEnsure monthly financial closing and General Ledger updates are completed accurately and on time.Review coding expense reports and payment requisitions prior to processing; ensure correct cost center allocation.Perform journal entries and verify transaction accur...
1. General Ledger & Financial Closing
- Ensure monthly financial closing and General Ledger updates are completed accurately and on time.
- Review coding expense reports and payment requisitions prior to processing; ensure correct cost center allocation.
- Perform journal entries and verify transaction accuracy in the system.
- Ensure all transactions comply with internal finance policies and procedures.
- Maintain detailed schedules supporting major ledger accounts and reconcile with GL balances.
2. Accounts Payable & Transaction Processing
- Perform 3-way matching (Invoice PO Goods Receipt) before processing vendor payments.
- Create and process AP transactions in Oracle system (PO CA RM).
- Verify completeness of supporting documents (PR PO CA etc.) from requesting departments.
- List and monitor accrued expenses on a monthly basis.
- Prepare and control intercompany transactions and debit notes.
- Process student invoices and adjustments when required.
- Input payments and ensure proper documentation and approvals.
3. Tax Administration
- Review and code tax-related transactions.
- Reconcile tax accounts and maintain prepaid tax accounts (WHT 22 23 26 Final Tax).
- Prepare and process tax payments with proper approval.
- Prepare and submit monthly tax returns (SPT Masa) to DGT.
- Prepare tax invoices and ensure timely issuance.
- Recap and print withholding tax slips (bukti potong) and notify vendors.
- Ensure overseas vendors COD documentation is complete.
- Monitor updates on tax regulations and ensure compliance.
4. Fixed Assets Management
- Ensure proper documentation (Capex forms) for asset purchases.
- Record down payments and asset capitalization accurately and timely.
- Calculate monthly depreciation in accordance with company policy and tax regulations.
- Reconcile Fixed Asset Register with General Ledger.
- Input and maintain asset records in the system.
5. Budgeting & Financial Reporting
- Monitor and control budget utilization for assigned division/location.
- Coordinate with budget owners regarding unrecorded or pending costs.
- Prepare monthly financial reports for management.
- Ensure revenue and expenses are recorded in accordance with COA.
- Support preparation of Management Reports (MR) Outlook and budget data.
- Assist in audit preparation and provide required financial documentation.
Administrative & Coordination Support
- Coordinate with academic and other departments regarding billing adjustments and event invoicing.
- Process invoice scheme revisions when requested.
- Support accreditation audit and compliance documentation.
- Perform general finance administration including emailing approvals documentation filing and system updates.
Qualifications :
- Minimum Bachelors Degree in Accounting Finance or any related major.
- Minimum 3 years of experience in related position
- Excellent communication skills.
- Excellent Microsoft Office skills
- analytical thinker with strong investigative and problem-solving skills.
- Outstanding attention to detail with excellent organizational skills.
Additional Information :
Please note that this position is open for talent pooling. We will contact you should a suitable opportunity become available. Thank you for your interest in our school.
Remote Work :
No
Employment Type :
Full-time
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