- Jalan Senangin Perai Pulau Pinang Malaysia 13600

Lokasi Kerja
Penerangan Kerja
Kelayakan
Minimum bachelor's degree in accounting, Finance, or a related field. Professional membership with the Malaysian Institute of Accountants (MIA) is mandatory. ACCA, CPA, CIMA, or other relevant professional qualifications will be an added advantage.
At least 3 to 5 years of relevant working experience in finance, accounting, audit, corporate finance, or financial planning and analysis (FP&A).
Experience in a Public Listed Company (PLC) environment or a Big 4 audit firm with exposure to manufacturing clients is highly preferred.
Strong knowledge of Malaysian taxation, the Companies Act 2016, Bursa Malaysia Listing Requirements, financial reporting standards, and corporate governance practices.
Experience supporting senior executives or C-suite stakeholders will be an added advantage.
Able to communicate effectively in Mandarin will be an added advantage.
Tanggungjawab
Bank Settlement & Payment Processing: Execute daily bank transactions including deposits, withdrawals, transfers, telegraphic transfers (T/T), and other payment settlements. Ensure all payments are properly approved and comply with internal authorization procedures.
Cash & Bank Account Management: Monitor and maintain bank account balances to ensure sufficient funding, prevent overdrafts, and ensure proper cash flow control.
Accounting Records Maintenance: Record all cash and bank transactions accurately and systematically in the cashbook and bank daybooks on a daily basis to ensure completeness and accuracy.
Bank Reconciliation: Prepare monthly bank reconciliation statements, verify balances against bank statements, and resolve any discrepancies or outstanding items in a timely manner.
Compliance & Internal Control: Ensure strict compliance with financial regulations, company policies, and internal control procedures. Maintain segregation of duties and support fraud risk prevention practices.
Reporting & Coordination: Work closely with the accounting team to provide timely cash flow updates, reconciliation reports, and financial information to support accounting operations and month-end closing activities.
Audit & Financial Support: Assist in month-end closing, annual audits, and other financial reporting requirements as needed.
Manfaat
Kemahiran
Peringatan Penting
Jangan pernah kongsikan maklumat bank atau kad kredit anda semasa memohon pekerjaan. Elakkan membuat sebarang pembayaran atau mengisi survey yang tidak berkaitan. Jika ada yang mencurigakan, sila laporkan iklan pekerjaan ini segera.