jobs in Hapag-Lloyd AG

全职 Senior Coordinator GL 工作, 薪水, Hapag-Lloyd AG Federal Territory 公司招聘中 - Ricebowl

Senior Coordinator GL

Hapag-Lloyd AG

KL City, Federal Territory

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工作地点

  • Kuala Lumpur Federal Territory Malaysia

职位描述

岗位职责

To provide support in areas of banking, cash flow monitoring, GL updating, maintenance of fixed asset registers and monthly, quarterly and annual financial & tax reporting including of Agent’s.

 

  • Handle agent settlements, intercompany invoices and settlements, and accounting document postings, ensuring completeness and proper document scanning and retention.

  • Assist in annual budget preparation, quarterly forecasts, monthly expenditure analysis, quarterly reporting, and ad hoc reports.

  • Assist in preparing financial statements in accordance with local accounting standards and statutory requirements.

  • Prepare monthly reconciliations for prepayments, deposits, provisions, general creditor accruals, and other balance sheet accounts.

  • Ensure accurate and timely completion of month-end, quarter-end, and annual closing and reporting deadlines.

  • Assist in the preparation of quarterly and annual corporate tax filings, indirect tax matters, tax risk assessments, and tax audits.

  • Prepare monthly Cash Positioning Reports (CPR), account settlements, applicable tax returns, agent-related charges, and ensure timely remittance of funds to HLAG.

  • Record cash and bank transactions in the GL, perform bank reconciliations, clear suspense accounts, and ensure timely journal entries and GL updates.

  • Monitor cash flow and ensure sufficient operating funds are maintained in the respective bank accounts.

  • Maintain the fixed asset register, perform annual reconciliation with Administration records, and coordinate the annual asset count.

  • Prepare and coordinate the monthly Internal Control Checklist (ICCL), identify control gaps, and recommend corrective measures.

  • Support SAP system maintenance, upgrades, and monitoring, and participate in other projects or tasks as assigned by the supervisor.

What Makes You A Fit
  • Bachelor’s degree in accounting, Finance, or a related Business Administration field. Professional qualifications such as ACCA, CPA, or MIA are highly recommended.

  • 1–5 years of experience in General Ledger accounting, banking operations, or financial reporting. Shared Service Center/GCC experience is an advantage.

  • Strong knowledge of end-to-end GL processes, including journal entries, accruals, prepayments, and month-end/quarter-end closing.

  • Experience in bank reconciliations, cash position monitoring (CPR), and intercompany settlements.

  • Good understanding of local tax requirements, including Corporate Tax, SST/GST, and Withholding Tax.

  • Strong working knowledge of SAP FI/CO for accounting postings, system maintenance, and monitoring.

  • Familiarity with Internal Control Checklists (ICCL) and the ability to identify and recommend improvements to strengthen financial controls.

  • Ability to perform expenditure analysis and support budget preparation and quarterly forecasting.

  • Strong attention to detail with the ability to meet strict monthly, quarterly, and annual reporting deadlines accurately and on time.

  • Effective coordination and communication skills when working with agents, internal departments, auditors, and supervisors.

重要安全守则

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