Senior Account Executive



Location
Selangor Puchong Puchong
Job type
Permanent 2 vacancies
Job level
Senior Executive MYR 4,000 - 5,000 per month
Job Specialisation

Accounting & Auditing Accounts

Accounting & Auditing Analysis & Reporting

Accounting & Auditing External Audit

Accounting & Auditing Taxation

Banking & Finance

Required qualifications
Bachelor's Degree, Professional Certificate/Qualification in Finance/Accountancy/Banking
Required languages
Bahasa Malaysia, Chinese, English
Job Closed
29-Jan-2019

Requirements

  • Candidate with a Diploma/Advanced Diploma, Bachelor's Degree Finance / Accountancy / Banking, or Professional qualification either MIA, CPA, CIMA or ACCA will be an added advantage.
  • Required language(s): English, Bahasa Malaysia and Mandarin (advantage)
  • At least 3 Year(s) of working experience in the related field is required for this position.
  • 2-3 years audit and corporate tax experience will be an added advantage
  • Required Skill(s): Microsoft Office, AutoCount Accounting System
  • Strong GST knowledge
  • Hands on experience in preparing group consolidated accounts that is in compliance with accounting standards.
  • Time management and manage the resources to meet the tight deadline for the assignment given.
  • Good Interpersonal communication skill
  • High level of integrity and confidentiality and independent
  • Ability to work under pressure and tight deadlines.

Responsibility

  • Oversee and accountable on the daily operations of the finance department via supervising, guide and review subordinate works.
  • Responsible and ensure timely completion of month-end / quarterly closing of accounts.
  • Prepare, review and analysis the financial reports and relevant notes to accounts for provide the necessary financial information in monthly, quarterly and annually basis in a timely and accurate manner.
  • Perform consolidation accounts on monthly, quarterly and annually basis.
  • Monitoring the Accounts Receivable, Accounts Payable, Cash Book and General Ledger.
  • Coordinate, compile and prepare the annual budget or quarterly forecast.
  • Prepare the corporate tax estimate and coordinate in tax compliance.
  • Prepare and submission of GST return filling in quarterly basis.
  • Coordinate in the statutory audit process.
  • Treasury management includes monitoring, forecasting, planning in cash flow.
  • Monitor the application for banking facilities and opening new current account.
  • Manage and review the bank reconciliation
  • Review and verify the journal vouchers, cash and payment vouchers and its supporting documents.
  • Ensure that accounting transactions and GST codes are captured and correctly classified in GL.
  • To implement the financial reporting templates and chart of accounts.
  • To implement and compliance to accounting policies and procedures as well as internal control.
  • Liaise with external auditors, company secretary, tax agent, regulatory authority and bankers.
  • Others ad-hoc duties assigned by management from time to time.
  • Supervising staff

     


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Reg. number
1106064-V

Industry
Advertising / PR / Events
Working Hours
Mon-Fri