To manage and ensure that accounts payable, account receivable, inventory, banking, bank reconciliation, journals and general ledger functions and performed accurately, effectively and efficiently.
To do data entry for invoices, payment vouchers and receipts into IFCA system or Autocount Accounting software.
Assist and do analysis in preparing the monthly/quarterly/annually for management and financial report to ensure accurate submission in timely manner.
To present financial monthly report to Board Of Director and Other Higher position.
To monitor bank reconciliation statements, general journal and ensure account receivable, account payable are up to date.
Ensure proper filling of documents and vouchers.
Assist in year-end audit and taxation submission.
Coordinate with other departments to ensure effective communication and collaboration.
Ability to work independently and as part of a team.
Assist with ad-hoc duties as assigned by management.
Candidate must possess at least Diploma/Advanced/Higher/Graduate Diploma/Degree in Finance/Accountancy/Banking or equivalent.
Required language(s): English, Bahasa Malaysia.
Proficient in Microsoft Office and Autocount system would be added advantage.
Preferably specialized in Finance - General/Cost Accounting or equivalent.
REQUIREMENTS
Diploma or Degree in related fields.
Fresh graduate are welcome
Job Type: Full-time Salary: RM1,500.00 - RM2,000.00 per month Benefits:
Free parking
Health insurance
Professional development
Schedule:
Monday to Friday
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