Assist in managing the full spectrum of Accounts Payable (AP) / Accounts Receivable (AR) / General Ledger (GL) functions to maintain a complete set of accounts in compliance with accounting standards (MFRS).
Package offered will be based on working experience.
o Assisting / Managing Trade / Non-Trade payable section, monitoring the day-to-day operations ensure an accurate, complete, up-to-date records, timely and cost-effective function to meet the requirements of the various stakeholders to achieve the company's objectives
o Liaise with suppliers or operation team to resolve any invoice discrepancies or payment issues
o Assist in performing vendor screening process & obtain banking details before vendor creation in system
o Identify the right G / L accounts for trade / non-trade invoice processing timely & accurately as well as on the project basis
o Perform 3-way matching for invoice processing timely & accurately
o Process & verify all Purchase Requisition and Purchase Payment Vouchers.
o Ensure & verify that all supporting documents are provided / submitted by bank signatories adequately for the payments
o Prepare monthly vendor reconciliation and journal entries for accrual.
o Provide ad hoc assistance on internal & external audit as needed.
o Ensure the inventories movement records are tally with the warehouse records
o Ensure efficiency and effectiveness of processes and fully in compliance with Nu Vending's internal policies and procedures.
OR
o Assist / Monitor and manage accounts receivable, including invoicing, delivery orders, payment collections, and reconciliations. As well as the monitoring on inventories movement
o Follow up on overdue payments and resolve billing discrepancies with clients.
o Maintain accurate records of customer transactions and collection status.
o Prepare and send monthly statements of accounts to customers.
o Coordinate with sales and operation teams to resolve collections-related issues.
o Generate AR aging reports and provide analysis on outstanding receivables.
o Support month-end and year-end closing processes.
o Ensure compliance with accounting standards and Nu Vending's internal policies and procedures.
o Ensure the inventories movement records are tally with the warehouse records
o Handling the E-invoicing matters
OR
o Assist / Manage day-to-day accounting operations related to the general ledger (GL).
o Accurate and complete maintenance of fixed asset register
o Prepare and review journal entries, accruals, and adjustments to ensure accuracy and compliance with accounting standards.
o Perform regular reconciliations of GL accounts including bank.
o Support month-end and year-end closing processes, ensuring deadlines are met.
o Maintain supporting schedules and documentation for financial audits and internal controls.
o Assist with financial reporting and analysis as required.
o Collaborate with cross-functional teams to ensure accurate cost allocations and expense reporting.
o Support and facilitate the external audit exercise by preparing audit schedules and responding to auditor queries.
o Liaise with bankers on other financial report submissions.
o Sound knowledge of MFRSand understanding the meaning and implications of financials stipulated in the financial statements.
o Good knowledge of internal control, risk management and corporate governance.
Finance Account • Kajang, Selangor, Malaysia