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Job Description
Responsible for full-set accounting of the Malaysia entity, including revenue, costs, expenses, fixed assets, accruals, and amortization.
Handle journal entries, bookkeeping, and month-end closing independently to ensure accurate, timely, and compliant accounting records.
Perform bank reconciliation, intercompany/account reconciliation, and balance sheet account clearing to ensure accounting accuracy.
Maintain finance records, supporting documents, and accounting filing systems.
Monthly Financial Reporting
Prepare monthly financial reports, including Balance Sheet, Profit & Loss Statement, and Cash Flow Statement.
Support HQ finance requirements by preparing monthly management reports and financial data in a timely manner.
Assist in budget tracking, expense analysis, and financial data preparation.
Ensure financial records are accurate, complete, and aligned with Group Finance requirements.