Assist in preparing monthly financial statements, including profit and loss, balance sheets, and cash flow statements.
Maintain accurate and organized financial records and files for all transactions.
Support the preparation of audit documentation and liaise with auditors during financial reviews.
Assist in preparing budgets, forecasts, and variance analysis as required by management.
Perform regular bank reconciliations to verify the accuracy of transactions and balances.
Investigate and resolve any discrepancies between bank statements and the hotel's financial records.
Ensure timely payment processing to all trade suppliers and perform interbank fund transfer.
Any other related tasks delegated by superior.
Job Type: Full-time
Pay: RM2,800.00 - RM4,000.00 per month
Benefits:
Health insurance
Maternity leave
Meal allowance
Opportunities for promotion
Professional development
Work Location: In person
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