jobs in Opus Hospitality

Opus Hospitality Hiring! Full Time Accounts Assistant in Federal Territory, Earn up to MYR 6,000 - Ricebowl

MYR5,000 - MYR6,000 Per Month

KL City, Federal Territory

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Working Location

  • Sprint Expressway (Damansara Link) Kuala Lumpur Federal Territory Malaysia

Job Description

Requirements

Requirements:

  • LCCI Diploma, Diploma, or Degree in Accounting, Finance, or a related field; fresh graduates with internship experience may be considered. 
  • Minimum 1–2 years of accounting experience, preferably in hospitality, property, or a multi-entity environment. 
  • Basic knowledge of accounting principles, accounts payable/receivable processes, and bank reconciliation. 
  • Proficient in Microsoft Excel and familiar with accounting software (e.g., SQL Accounting, AutoCount, UBS, or similar); willingness to learn AI tools to work more efficiently. 
  • Meticulous, organized, and able to maintain accuracy under monthly closing deadlines. 
  • Good communication skills in English and Bahasa Malaysia for liaising with vendors, auditors, and site teams. 
  • Proactive, responsible, and able to work independently with minimal supervision. 
  • Willing to travel to property sites for monthly stock checks; possess own transport and valid driving license preferred.

How to Apply

Interested? Email your CV to ************* with the position title as the subject line (e.g., "Application – Job Title"). Shortlisted candidates will be contacted for an interview.

Responsibilities

Key Responsibilities:

To support the day-to-day accounting and finance operations of the entity, ensuring accuracy, timeliness and compliance with company policies and statutory requirements.

Responsibilities:

Accounts Payable & Receivable

  • Process accounts payable and receivable transactions accurately and on a timely basis, including data entry into the accounting system.
  • Prepare and verify invoices, payment vouchers, receipts, and supplier statements of account.
  • Monitor outstanding payments and receivables; follow up on collections and flag overdue accounts to superiors promptly.

Accounting & Month-End Support

  • Perform monthly bank reconciliations and assist in resolving discrepancies.
    Assist in month-end and year-end closing activities, including preparation of journal entries, accruals, and supporting schedules.
  • Support the preparation of financial reports, audit schedules, and statutory filings.

Records & Compliance

  • Maintain proper, complete, and well-organized accounting records and supporting documentation in compliance with company policy and statutory requirements
  • Ensure day-to-day transactions adhere to internal controls, accounting standards, and statutory regulations.

Operational Support

  • Conduct monthly stock checks at property/site locations and report variances to the Finance team.
  • Liaise with vendors, auditors, and tax agents as required, ensuring queries are attended to promptly.
  • Undertake ad-hoc tasks and assignments from superiors as required.

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