Collaborate with Product, Billing and IS teams on new product launch to ensure systems and processes are properly set up before its launch to ensure accurate revenue accounting.
Prepare accounting treatment and process papers to support revenue or cost recognition
Provide monthly audit schedules and assist in internal and external audit requests
...
v Ensuring necessary controls is complying with company’s finance policies
v Liaison with external auditors and tax agent on statutory audits and tax filing, including preparation of supporting reconciliation and schedules to external and internal parties
v Observe and meeting internal month end and statutory compliance and filing deadline
...
Monitor key performance ratios, inform timely on any unexpected issue impacting potentially the financial performance of the Country and Area, identify areas of improvement in business and propose/implement corrective actions.
Collaborate with BPO to ensure a smooth relationship and a seamless delivery of the in-scope finance activities.
Prepare monthly financial statements, management reports, and supporting schedules for review.
Perform balance sheet reconciliations and ensure all reconciling items are properly investigated and resolved promptly.
Reconcile bank accounts, intercompany balances, supplier accounts, and customer accounts regularly to ensure accuracy and completeness of financial records.
...
Want to keep numbers tidy and help hardware products move from bench to buyer? Working with us at Metasigma, a technology-hardware team building reliable devices for Malaysian customers, you will be part of a small finance crew that keeps operations honest and predictable.
As a builder on our accounting team you'll set up clear bookkeeping routines, create repeatable reporting, and help scale finance processes as our product volumes grow.