Opportunity Description
Responsibilities
- Handle full set of accounting work such as AR, AP, Management Account, Bank Reconciliation, Financial Statement, Profit & Loss, Balance Sheet, Cash Flow, Budget, GST Reporting.
- Manage and monitor staff attendance, salary payable, EPF payable, SOCSO payable, rental payable and related items.
- Prepare monthly financial statements which include balance sheet schedules.
- Maintain proper filing system for all accounts receivables and banking documents.
- Prepare monthly cash flow forecast for cash flow management purposes.
- Liaise with bankers, auditors, tax agents, secretaries and related statutory bodies.
Requirements
- Candidate must possess at least a Professional Certificate, Finance/Accountancy Diploma & Degree or equivalent.
- Required language(s): Bahasa Malaysia, Chinese, English
- At least 3 year(s) of working experience in the related field is required for this pos...
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