Ready to keep the numbers accurate and projects moving?
Join Jiangsu Installation Sdn. Bhd. (JSI) and support our finance operations in a practical construction environment.
Key Responsibilities
Financial Transactions & Payments
- You will record daily transactions, post journal entries and maintain accurate ledgers in our accounting system so project costs stay current.
- You will prepare and process supplier invoices and payments, ensuring approvals and payment schedules are met.
Reconciliations & Reporting
- You will perform regular bank reconciliations and resolve variances promptly to keep cash records reliable.
- You will support month-end tasks and basic bookkeeping to produce clear financial data for the finance team.
Site & Supplier Coordination
- You will work with site teams and suppliers to verify invoices, track claims and ensure timely collections and payments.
- You will handle ad hoc finance tasks to support smooth project operations and administrative needs.