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- Handle full set of accounts
- Prepare monthly financial statements which include balance sheet schedules, verification of general ledgers, bank reconciliation, debtor and creditor reconciliation
- Perform day to day function including preparation of payment voucher, invoicing and updating of accounts
- Prepare month end financial reports and analysis in accurate and timely manner
- Liaise with auditor, tax agents and other external
- Possess LCCI / Diploma / Degree in Finance/ Accountancy or equivalent.
- Required language(s): Chinese, English, Bahasa Malaysia
- Able to work under constant deadlines and independently
- Computer literate and well verse in MS Excel and MS Word.
- 5 working days
- Medical Benefits
- Attractive Remuneration
- Annual Leaves
- Others