职位详情
职位描述
Full Set of Accounts (MY Trading & SG Trading)
Handle AP/AR/GL/Bank Reconciliation for 2 trading entities
Complete month-end & year-end closing
Maintain journals, schedules, fixed assets
Ensure compliance with Malaysia & Singapore accounting standards
Support Malaysia Manufacturing Finance
Assist Finance Manager with manufacturing accounts.
Assist costing, intercompany reconciliation, manufacturing schedules
Tax, GST, SST & e‑Invoice (If Applicable)
Prepare SG GST returns (if applicable)
Prepare MY SST (if applicable)
Submit e‑Invoice
Perform MY & SG tax computations
Trading Analysis & TP Support
Perform sales, margin, cost & profitability analysis
Prepare intercompany recharge schedules
Assist with TP documentation
Export Documents & Billing
Prepare SG export documents: CI/PL/permit
Liaise with forwarders
Issue invoices (SG & MY) with correct tax coding
Budgeting & Reporting
Prepare budgets, forecasts, cash flow
Prepare management reports & variance analysis
Filing & Internal Control
Maintain proper & timely filing of all finance documents
Strengthen SOP & internal controls
External Liaison
Liaise with auditors, tax agents, company secretary, banks, IRAS & LHDN
Ad-Hoc Tasks
Support Finance Manager with manufacturing & trading tasks
Support ERP/e‑Invoice systems
Handle other companies' financial matters