1. Transaction & Documentation Audit
- Review and verify all submitted transaction files and supporting documents for completeness and accuracy.
- Ensure all required attachments and supporting documents are submitted in accordance with company requirements.
- Check Tenancy Agreements (TA) and related documentation for completeness, accuracy, proper execution, and authorization.
- Verify that all supporting documents are signed, dated, and properly filed.
- Review documents such as tenancy agreements, agency forms, tenant and landlord identification documents, approval forms, commission-related documents, and other transaction records.
- Identify missing, incomplete, expired, or inconsistent documentation and follow up with the relevant parties for rectification.
- Ensure compliance with document retention and record management requirements.
2. Compliance Monitoring
- Conduct regular audits on transaction files to ensure compliance with company policies, procedures, and regulatory requirements.
- Review tenancy and property transaction documentation for adherence to internal controls.
- Monitor compliance with approval matrices, documentation requirements, and submission timelines.
- Highlight potential risks, control weaknesses, and non-compliance issues
3. Audit Reporting
- Prepare audit findings reports and communicate observations to Management.
- Maintain audit checklists, audit records, and documentation review logs.
- Track audit findings and follow up on corrective actions.
- Recommend process improvements to strengthen internal controls and operational efficiency.
4. Internal Control & Process Improvement
- Assist in evaluating the effectiveness of internal control systems and documentation processes.
- Participate in process reviews and special audit assignments.
- Support the development and enhancement of audit procedures, policies, and standard operating procedures (SOPs).
- Identify opportunities to improve workflow efficiency, accuracy, and compliance.
5. Data Verification & Reconciliation
- Verify transaction records against supporting documents and system records.
- Conduct data validation and reconciliation exercises where required.
- Ensure information entered into company systems matches the submitted supporting documentation.
- Identify discrepancies and escalate issues for further review where necessary.
6. Administrative Support
- Maintain organized audit files and records.
- Assist in preparing audit schedules, reports, and management summaries.
- Support internal and external audit exercises as required.
- Perform any other duties assigned by Management from time to time.
Pay: RM1,700.00 - RM2,500.00 per month
Work Location: In person