职位详情
国籍要求:马来西亚
职位描述
Key Responsibilities
Transaction Management & Posting
Check
, import, and post all financial transactions from sub-modules (e.g., AP, AR, PS, PM) to the General Ledger (GL) module.
Ensure accuracy and completeness of data integration in the IFCA accounting system.
Reconciliation
Perform data reconciliation between sub-modules and the GL module in IFCA system.
Investigate
and resolve discrepancies promptly.
Monthly Reporting & Closing
Prepare
and verify Gross Development Value (GDV) reports for month-end closing.
Compute and analyze monthly profit for management reporting.
Prepare management accounts and financial highlights for management review.
Prepare Profit & Loss (P&L) statements for leased assets.
Master Data & Control
Prepare and monitor master control listings for consultants and contractors.
Maintain updated and accurate creditor and debtor aging reports.
Monitor and update the Fixed Asset listing.
Taxation & Compliance
Prepare monthly tax computations and yearly tax estimation.
Handle tax queries and coordinate with tax agents when necessary.
Prepare and submit Sales and Service Tax (SST) returns on a bi-monthly basis.
Ensure compliance with relevant financial regulations and internal policies.
Audit & Year-End Activities
Assist in the preparation of year-end audit accounts and gazette accounts.
Liaise with auditors, tax agents, and regulatory authorities.
Ad-Hoc Reporting
Prepare
ad-hoc financial reports and analysis as required by management.