No.26A, 1st Floor, Jalan Tengku Ampuan Zabedah D 9/D Shah Alam Section 9 Selangor Malaysia 40100
职位描述
任职资格
Candidate must possess at least a Diploma, Advanced/Higher/Graduate Diploma, Bachelor's Degree, Post Graduate Diploma, Professional Degree, Finance/Accountancy/Banking, Commerce or equivalent.
Proficient with MS Excel and SPS accounting system - Excellent communication skills in English, spoken & written
Applicants must be willing to work in Shah Alam At least 3 year(s) of working experience in the related field is required for this position
Full-Time position(s) available
岗位职责
Accounts
To prepare full set of monthly management accounting report and consolidated financial statements in compliance with group policies, and relevant accounting standards.
The reports consist of: Accounts Payable/ Accounts Receivable/ General ledger/ Inventory/ Fixed assets register and report.
To monitor the cash flow position of the company, to ensure that the company have sufficient fund to meet all short term obligations.
To execute day to day operations of Accounts Payable and Accounts Receivable.
To prepare the monthly payments list.
Finance
Responsible for overall financial operations ensuring timely preparation of financial reports and project costing, manage budgeting, forecasting tax planning and cash flow.
Manage a broad range of treasury functions which include cash management, day to day treasury operations and bank relations.
Establish, implement and review financial policies and procedures with appropriate internal controls and measures.
Ensure compliance with local statutory requirements and financial reporting standards, including standard operations policies and procedures.
To carry out any other assignments as directed by the Management from time to time.