Responsibilities\xc2\xb7 To assist in handling a full set of accounts and ensure timely preparation of monthly management accounts and financial statements for the year-end audit.\xc2\xb7 To assist in handling audit, taxation, and statutory including liaisons with the external auditors tax agent, and secretary firm.\xc2\xb7 To assist in budgeting, cash forecasting, revenue, and expenditure variance analysis, etc.\xc2\xb7 To assist in treasury operations, e.g. cash management, deposit placement, drawdown and repayment of loans, and bank account management.\xc2\xb7 Responsible to complete daily and monthly accounting activities timely, such as payments, invoices, receiving vouchers, journals vouchers, reconciliations, and other accounting documents.\xc2\xb7 Ensuring documented system of accounting policies and standard operating procedures is in place.Perform any other ad hoc duties assigned by the HODRequirements:\xc2\xb7 Possess at least a Degree in Accounting, Finance, or professional accreditation with CPA Australia, ACCA, or CIMA, and a member of the Malaysian Institute of Accountants (MIA)\xc2\xb7 At least 2 years of working experience in related field.\xc2\xb7 Knowledge of computerized accounting software, well versed in the ACC Track 21 accounting system and ERP system is an advantage\xc2\xb7 Experienced in dealing with progress claims and payment certificate\xc2\xb7 Good communication and interpersonal skills to be able to communicate across all levels of staff\xc2\xb7 Strong analytical skills and ability to work independently.
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