Manage full set of account and maintaining general ledger, purchase ledger, sales ledger, closing stock & bank reconcilation.
Finalize the account for year‑end audit and coordinate with the auditor.
Submit monthly profit & loss statement report to the management.
Prepare timely and accurate financial reports – monthly, quarterly, and annually.
Prepare yearly budget report & monthly expenses report.
To handle e‑invoicing related matters.
Ensure timely submission of withholding tax, e‑invoice and other statutory reports.
Handle & Monitor On Petty Cash Expenses.
Liaise with internal and external parties (i.e. bankers and etc).
Perform any other job functions that may be assigned by the superior.
Requirements
Application Questions
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Finance Executive • Petaling Jaya, Selangor, Malaysia