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
CHARACTERISTIC DUTIES AND RESPONSIBILITIES:
1. Manages check payments and deposit procedures. This includes: preparing check payment vouchers and issuing checks; writing out check deposit slips; and updating bank balances and withholding tax.
2. Manages petty cash records. This includes: keeping track of petty cash payments and receipts; and drawing out cash from the bank for petty cash payments.
3. Monitors the company’s monetary situation and requirements.
4. Takes charge of the Accounts Payable. This includes: processing payment of bills from providers and vendors; updating unpaid bills into a weekly cash flow report.
5. Handles the Accounts Receivable. This includes: updating monthly billing summary list at the end of the month; updating individual debtor’s accounts for invoices billed and payments received from debtors on a monthly basis.
6. Prepares month-end and year-end accounts reporting. This includes: updating all entries for all payments, receipts and bills received for the month; updating Journal entries; performing bank reconciliation; printing all accounting reports from the General Ledger and Accounts Payable Package; preparing Balance Sheet schedules; preparing expenses/income schedules for transactions in the year for the financial year; and preparing fixed assets schedules.
7. Prepares, debit notes and credit notes. This includes: typing and printing of debit notes and credit notes; making photocopies of debit notes and credit notes typed and all supporting documents; and updating case management log for invoices, debit notes and credit notes typed and paid
8. Liaise with the bank, auditor, tax agent, corporate secretary, government departments, Insurance, IT related etc.
9. Performs any other related duties as assigned by immediate supervisor.
Requirements
✓ Diploma or Bachelor Degree in Accounting.
✓ ACCA qualification, CAT / LCCI Higher Book-keeping Certificate as minimum professional qualification.
✓ Strong mathematical aptitude.
✓ Ability to keep full sets of accounts up to Balance Sheet.
✓ Familiarity with computerized accounting packages.
✓ Computer literate; can use the office software such as MS Words, Excel, Access, etc.
✓ Previous experience in administrative and accounting functions.