Handle full set of accounting work such as AR, AP, Management Account, Bank Reconciliation, Financial Statement, Profit & Loss, Balance Sheet, Cash Flow, Budget, GST Reporting.
Manage and monitor staff attendance, salary payable, EPF payable, SOCSO payable, rental payable and related items.
Prepare monthly financial statements which include balance sheet schedules.
Maintain proper filing system for all accounts receivables and banking documents.
Prepare monthly cash flow forecast for cash flow management purposes.
Liaise with bankers, auditors, tax agents, secretaries and related statutory bodies.
Requirements
Candidate must possess at least a Professional Certificate, Finance/Accountancy Diploma & Degree or equivalent.
Required language(s): Bahasa Malaysia, Chinese, English
At least 3 year(s) of working experience in the related field is required for this pos...