Preparation of monthly management accounts and ensure transactions made in the books are accurate, correct and complete
Preparation and analyses income statements and balance sheet listing
Preparation of monthly balance sheet reconciliation including inter-companies transactions
Preparation of monthly tax computation including maintaining the accurate tax schedules
Preparation of monthly GST reconciliation report
Preparation of inter-company transactions listing on monthly basis
Compilation of divisional data for monthly, quarterly and yearly reporting
Preparation of the annual budget
Preparation of recurrent related parties transactions on monthly, quarterly basis
Liaise with both external and internal auditors and responsible to resolve issues highlighted
Preparation of quarterly deferred tax computation
To perform any other duties and responsibilities as and when necessary at ad-hoc basis
Job Requirements
Candidate must possess at least a Professional Certificate, Bachelor\'s Degree, Post Graduate Diploma or Professional Degree in Finance/Accountancy/Banking or equivalent
A proven track record with minimum of three (3) years of commercial experience
Able to work under pressure and meet deadlines
A committed team player with good communication and interpersonal skills
Analytical and meticulous for detail
High integrity and able to work independently
Job Type: Full-time Salary: RM2,300.00 - RM3,500.00 per month Ability to commute/relocate:
Petaling Jaya: Reliably commute or planning to relocate before starting work (Required)
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