Perform accurate data posting for journal vouchers, payments, and receipts into the accounting system in accordance with the companies' policies and procedures.
Reconciling accounts and ensuring accurate financial records.
Work closely and communicate with other departments to obtain required information and resolve any discrepancies.
Liaise with external auditors for annual audit, tax agents, bankers and other relevant stakeholders as required.
Maintain the Fixed Assets Registered in the system, recording acquisitions, disposals, depreciation, and revaluation.
Ensure all the accounting records are correctly updated and reconciled in the accounting system (SQL accounting software)
Updating and generating weekly and monthly financial reports for management to review.
Maintain proper documents and filing control to support accounting entries
Ensure data integrity and accuracy in all reporting.
Collaborate with leadership on ad-hoc analysis and special projects.
Ad hoc task or assignment when required
Job Requirements
Unlock job insights
Salary match Number of applicants Skills match
Your application will include the following questions :
#J-18808-Ljbffr
Account Executive • Ipoh, Perak, Malaysia