Location(s) Kuala Lumpur - Wilayah Persekutuan Kuala Lumpur - Malaysia
Financial Analyst (PTP) :
Responsible for the functions of Accounts Payable \xe2\x80\x93 preparation of vendor payment, staff claims, Inter-company payment & ad-hoc payment request.
Ensure payment transactions are properly recorded into ERP system.
Reconciliation of vendor statement against ERP vendor account.
Complete the monthly closing in a timely and efficient manner.
Ensure compliance of SSC processes and procedures.
Replying any payment queries to respective site or Country Finance within 3 working days.
Monthly Reporting-Complete monthly bank reconciliation and monthly exception report.
Establish and maintaining e-filing system for correspondence and documents.
Preparation of other ad-hoc analysis and on-going treasury support task assigned from the Team Leader.
Embraced continuous improvement processing, possess an open and positive mindset in adapting changes
JOB REQUIREMENTS
LCCI/Diploma/Degree in Accounting/Finance.
Fresh graduate is encouraged to apply for this position.
Bank reconciliation preparation knowledge will be added advantage.