Handle full set of accounts and be responsible for month-end closing, monthly reports, and other financial matters.
Prepare comprehensive management and financial reports as required by management.
Prepare monthly profit and loss statements and balance sheet schedules for management review by the deadline.
Prepare monthly reconciliations of payments, bank balances, creditors, and intercompany balances.
Assist in cash flow management-allocating, planning, and monitoring funds to ensure efficient cash flow.
Assist in preparing rolling financial forecasts and annual budgets.
Prepare relevant audit schedules, tax calculations, and tax estimates.
Ensure statutory filings are submitted before the deadlines.
Liaise with company secretaries, auditors, bankers, and tax agents on accounting and tax-related matters.
Handle daily administrative and operational activities and any ad-hoc duties as needed.
Benefits
EPF & SOCSO
Annual Leave
Toll & fuel allowances
Parking provided
Additional Benefits
Allowance Provided
EPF / SOCSO / PCB
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