Perform day-to-day accounting operations and handle the full set of accounts, including general ledger, accounts receivable, and accounts payable, for each company within the Group to support the timely preparation of monthly management accounts and financial reports.
Prepare detailed breakdowns and perform monthly reconciliations of all Balance Sheet accounts, with particular emphasis on bank reconciliation.
Support the preparation of financial reports, year-end closing, and management accounts, ensuring all deadlines are met accurately and efficiently.
Monitor and manage operational cash flow to ensure sufficient funding for business and operational needs.
Maintain a well-organized and efficient filing system for audit and statutory compliance purposes.
Liaise with external parties including auditors, tax agents, company secretaries, government authorities, and bankers to ensure all statutory and regulatory requirements are met.
Responsible for checking and submitting monthly SST (Sales and Service Tax) in accordance with current tax regulations and deadlines, ensuring compliance with government requirements.
Perform any other duties or responsibilities as assigned by the superior from time to time.
Job Type: Full-time
Pay: RM4,500.00 - RM6,000.00 per month
Benefits:
Opportunities for promotion
Language:
Mandarin (Preferred)
English (Preferred)
Work Location: In person
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