Manage and process all daily accounting transactions including payments, receipts, invoices, petty cash, and journal entries.
Maintain up-to-date and accurate financial records using accounting software.
Monitor and manage student tuition fee collections, issuing official receipts, and recording payments.
Student Financial Account Management
Maintain accurate student fee accounts, including sponsorships, scholarships, loan disbursements, and claims.
Follow up with students and sponsors on outstanding payments and account discrepancies.
Support key student-related events such as registration, convocation, and orientation from a financial standpoint.
Handle disbursement and recording of trust funds, student activities, special funds, and financial assistance schemes.
Accounts Payable & Receivable
Review and process supplier invoices, staff claims, and other expenditures in a timely manner.
Monitor receivables to ensure prompt collection of all dues.
Perform regular reconciliation of vendor accounts and student ledgers.
Financial Reporting & Budgeting
Prepare monthly, quarterly, and annual financial reports for management and the Board.
Support annual budgeting and financial forecasting for operational and academic needs.
Analyse budget variances and provide actionable financial insights.
Cash Flow and Bank Reconciliation
Perform monthly bank reconciliations to ensure consistency between bank records and internal accounts.
Monitor and manage institutional cash flow to meet financial obligations efficiently.
Statutory Compliance & Regulatory Reporting
Ensure accurate and timely submission of all statutory payments and reports (EPF, SOCSO, EIS, LHDN, SST, etc.).
Liaise with regulatory bodies such as MOE, MQA, and government agencies on financial matters.
Maintain compliance with local accounting standards and institutional financial policies.
Audit and Internal Control
Coordinate with external auditors and tax agents during audits and financial reviews.
Provide all necessary documentation, justifications, and responses to audit queries.
Implement audit recommendations to improve internal controls and financial practices.
Procurement and Fixed Asset Management
Support procurement processes by tracking and verifying financial documentation.
Maintain and regularly update the fixed asset register.
Ensure proper documentation of purchases for audit and compliance purposes.
Process Improvement and Policy Adherence
Identify and implement improvements in financial workflows and reporting.
Ensure all financial activities comply with internal policies, SOPs, and industry best practices.
Maintain confidentiality and security of all financial data.
Job Types: Full-time, Permanent
Pay: RM2,500.00 - RM3,000.00 per month
Benefits:
Maternity leave
Opportunities for promotion
Professional development
Education:
Bachelor's (Preferred)
Experience:
finance: 3 years (Preferred)
Work Location: In person
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