Assist in the preparation of the monthly and annual financial accounts for submission.
Producing an accurate set of month-end accounts
Preparing profit and loss accounts and the balance sheet for senior management
Reconciling bank statements and ensuring legislation is followed
Chasing late payments, reporting bad debt, and keeping a careful eye on the cash flow
To assist the accounts payable and general ledger, audit, budget, and costing system
Oversee and maintain all accounts payable, accounts receivable, general ledger accounts, and all its computerized accounting functions, and ensure the system operates effectively and efficiently.
Monthly reconciliation of the general ledger and control accounts was prepared.
Handling the journalizing of accruals, prepayments, and adjustments Also, to ensure all reports, journals, and adjustments are properly authorized by the Accounts Controller
to be responsible for the issuance of debit and credit notes and the safekeeping of the books.
to maintain and record all bank transactions and to prepare bank reconciliation statements for all bank accounts.
To keep fixed asset registers up to date and record fit asset numbers for tagging also, to record any disposals of assets,
To assist in the supervision of the accounts department and to ensure its smooth running
To assist in the analytical review and writing of reports on financial statements
To perform any additional duties and responsibilities as and when requested by the management.
To be efficient in dealing with E-Invoicing methods and with a good rapport for LHDN.