Job Details
Nationality Requirement: Malaysia
Job Description
Financial Reporting
- Prepare month-end and year-end closing activities to ensure complete and accurate financial information within the Accounting System.
- Prepare monthly schedules and perform double entries within the accounting system in accordance with the requirements of the accounting standards adopted.
- Conduct monthly checks over accounts receivable for any unbilled/delivered service/works to ensure accurate recording of revenue and receivables.
- Send out monthly SOA to customers and reminder letters to assist with collection.
- Compute weekly forecast payment allocation and monitor payments to ensure no duplicates and no delays in payment.
- Support internal and external audits by providing necessary documentation and explanations.
- Identify opportunities for process improvements and automation in financial operations.
- Ensure adherence to internal controls, financial policies and other regulatory requirements.
- Perform any other ad-hoc matters as required by the Finance Manager.
Financial Operations (Accounts Payable)
- Ensuring that all finance operation transactions assigned are recorded timely and accurately.
- Manage end-to-end accounts payable processes including invoice verification, recording of liabilities in accounting system, payment processing and vendor reconciliation.
- Review and resolve discrepancies in invoices and payment requests.
- Assist in reviewing vendor registration and information update to the vendor master data.
- Maintain vendor master data and ensure proper documentation and audit trails.
Treasury
- To update weekly cashflow positions including preparing weekly, monthly and yearly cashflow forecast.
- Ensure internal controls over cash and treasury operations is strictly adhered to.
- Ensure the meticulous maintenance record, documents and filing systems for efficient retrieval and compliance purpose.
Taxation
- Assist in making the necessary payments for group-wide direct and indirect tax compliance over entities assigned.
- Assist in identifying lapses in indirect tax or other taxes when making payments to suppliers.
- To assist in providing information on payment to suppliers for any tax audits or request from authorities.