jobs in PERSOL Workforce Solutions Malaysia Sdn Bhd

PERSOL Workforce Solutions Malaysia Hiring! Contract Logistics : Finance & Accounting (Financial Reporting & Reconciliation) in Selangor, Earn up to MYR 5,000 - Ricebowl

Logistics : Finance & Accounting (Financial Reporting & Reconciliation) jobs

Logistics : Finance & Accounting (Financial Reporting & Reconciliation)

MYR3,500 - MYR5,000 Per Month
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Posted 11 hours ago • Closing 26 Oct 2026
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Working Location

  • Taman Perindustrian Bukit Jelutong Shah Alam Selangor Malaysia 40170

Job Description

Requirements

  • Degree in Accounting, Finance, or a related field.

  • 1–3 years of experience in Accounting, Financial Reporting, General Ledger (GL), Reconciliation & Audit Support

  • Familiarity with ERP systems (SAP experience is an advantage).

  • Good understanding of IFRS and accounting principles.

  • Strong Microsoft Excel skills.

  • Detail-oriented with excellent analytical and problem-solving abilities.

  • Able to work effectively with Shared Service Centre teams and meet reporting deadlines.

Responsibilities

Financial Close & Reporting

  • Support month-end, quarter-end, and year-end closing activities.

  • Review journal entries, accruals, and provisions prepared by RSSC.

  • Ensure transactions are accurately recorded and properly coded.

  • Maintain monthly accrual schedules and coordinate posting activities.

Balance Sheet & Reconciliation

  • Review balance sheet reconciliations and identify discrepancies.

  • Ensure all accounts are supported with proper documentation.

  • Follow up and resolve outstanding balances.

  • Maintain audit-ready financial records.

Bank & System Controls

  • Review bank reconciliations and investigate variances.

  • Support SAP vs. TMS reconciliations to ensure data consistency.

  • Monitor financial accuracy across multiple systems.

Financial Analysis & Business Support

  • Support Profit & Loss (P&L) reviews and variance analysis.

  • Assist with Budget vs. Actual reporting.

  • Contribute to business controlling and financial reporting activities.

  • Support budgeting and forecasting processes.

Audit & Compliance

  • Prepare schedules and supporting documents for audits.

  • Ensure compliance with IFRS, local accounting standards, and company policies.

  • Maintain strong financial controls and documentation practices.

Intercompany & P2P Support

  • Support intercompany reconciliations and issue resolution.

  • Review fixed asset transactions and depreciation postings.

  • Monitor supplier invoice postings, approvals, and vendor balances.

Benefits

  • Health insurance
  • Professional development
  • Training Provided

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