Full-time Posted June 16, 2026
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Job Description

Job Responsibilities

  • Handle full set of accounts.
  • Assist in monthly accounts closing, preparation of Journal and reporting.
  • Perform bank and other reconciliations, prepare audit schedules and update fixed asset register.
  • Liaise with overseas counterparts for inter‑co charges, prepare journal and confirm balances.
  • Keep track of supplier invoices, prepare payment vouchers ensuring appropriate accounting entries and schedule for timely payment.
  • Prepare withholding tax documents and payment to LHDN.
  • Assist Accountant in updating the weekly cash flow projection.
  • Verify staff reimbursement claim.
  • Assist in preparing budget to Finance Manager.
  • Liaise with tax agent and external auditor for queries arises.
  • Liaising with bankers/company secretary in opening of bank accounts and updating users’ requirements from time to time including preparation and circulation of documents ...

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