职位详情
语言要求: 英语/良好 ;中文/良好 ;马来语/良好 两个星期招聘1-3人
职位描述
Key Responsibilities
1. Financial Reporting & Documentation
-Handle full set of accounts for multiple group companies
-Prepare monthly financial reports, management reports, and analysis
-Maintain accurate financial records and proper documentation
2. Transaction & Cash Flow Management
-Monitor daily transactions, payments, and collections across entities
-Track and manage cash flow to ensure healthy financial position
-Identify discrepancies and ensure proper reconciliation
3. Group Financial Coordination
-Consolidate financial data across different business units
-Ensure alignment between departments (operations, sales, management)
-Support intercompany transactions and reporting
4. Financial Planning & Analysis
-Assist in budgeting, forecasting, and financial planning
-Provide insights on cost control, profitability, and financial performance
-Support management in decision-making with accurate financial data
5. Inventory & Stock Alignment
-Monitor and reconcile inventory records (especially gold/products) with financial data
-Ensure stock movement aligns with accounting records
-Work closely with operations to maintain accurate stock tracking
6. Compliance & External Liaison
-Liaise with auditors, tax agents, and external parties
-Ensure compliance with accounting standards and regulatory requirements
Requirements
-3–6 years experience in accounting or finance
-Experience handling full set accounts (multi-entity preferred)
-Strong understanding of financial reporting and cash flow management
-Detail-oriented, responsible, and organized
-Able to work independently in a fast-paced environment