Job ResponsibilityJob Description
? Handle and monitoring company's full sets of accounts including updating and verification of ledgers, bank reconciliation, accounts payable, month-end closing and statutory requirements.
? Organize and supervise preparation of monthly cash flow report and responsible in cash flow planning and forecast.
? To handle the monthly management accounts together with financial analysis.
? Responsible to prepare year end reports for audit and tax schedules.
? To manage and coordinate consolidate account of the group of companies.
? Assist in preparation of forecasting and monitoring yearly budget.
? To calculate, check and verify sales collection and manage credit control
? Liaison with bankers, auditors, tax consultants, contractors, purchasers, and all levels of staff.
? To support the Group of Companies in handling day-to-day accounts and finance functions as assigned.
Requirements:
? Candidate must possess at least a Diploma or Degree in Accountancy or equivalent
? Required language(s): English, Bahasa Malaysia, Mandarin / Cantonese (oral and written)
? At least 2 year (s) of relevant working experience.
? A discipline person, proactive, positive working attitude and able to work independently with minimum supervision.
? Detail, analytical, accurate, good with numbers, reporting and good organizational skills.
Job RequirementsJob Benifits