- Prai Pulau Pinang Malaysia
Working Location
Job Description
Responsibilities
Key responsibilities:-
· Maintain financial records by managing daily DA/NTR assignments, bank reconciliations, balance sheet reconciliations, fixed asset registers, prepayments, and cheque clearing status.
· Prepare monthly financial reports and analyses, including Profit & Loss statements, foreign exchange gain/loss schedules, Banker's Acceptance schedules, and other KPI-related reports.
· Support inventory and asset management by participating in monthly and annual physical stock counts and maintaining accurate fixed asset records.
· Assist with audit and tax compliance by preparing audit and tax schedules, liaising with auditors and tax agents, and ensuring compliance with statutory requirements.
· Perform other accounting and finance duties as assigned to support departmental objectives and the company's operational and financial goals.
Requirements
Job Types: Full-time, Permanent
Pay: RM2,300.00 - RM3,500.00 per month
Work Location: In person
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