Key Responsibilities
1. Accounts Payable (AP)
- Process and record supplier invoices, bills and other expenses accurately and on a timely basis.
- Prepare payment vouchers and supporting documents for payment processing.
- Verify invoices against Purchase Orders (PO), Delivery Orders (DO) and other supporting documents.
- Maintain proper filing and documentation of supplier invoices and payments.
- Reconcile supplier statements and follow up on discrepancies where necessary.
2. Accounts Receivable (AR)
- Assist in preparing and issuing invoices, debit notes and credit notes.
- Record customer receipts and update the accounting system accordingly.
- Maintain and monitor customer account balances and outstanding receivables.
- Assist in preparing debtor ageing reports and following up on outstanding payments.
3. Banking & Cash Management
- Perform monthly bank reconciliations.
- Record banking transactions, receipts and payments accurately.
- Assist in preparing payment instructions and online banking transactions for approval.
- Maintain proper records of bank-related documents and transactions.
4. General Ledger & Month-End Closing
- Assist in posting accounting entries into the accounting system.
- Assist with monthly accruals, prepayments and other adjusting entries.
- Assist in preparing schedules and reconciliations for balance sheet accounts.
- Support the Finance team in monthly and year-end closing activities.
- Ensure transactions are recorded under the appropriate general ledger accounts and cost centres.
5. Payroll & Statutory Matters
- Assist in recording payroll-related transactions and maintaining supporting schedules.
- Assist with reconciliation and payment documentation for statutory contributions such as EPF, SOCSO, EIS and PCB.
- Maintain proper records for payroll-related accounting entries and payments.
6. Audit, Tax & Compliance
- Assist in preparing supporting documents and schedules for external auditors, tax agents and other professional advisers.
- Ensure accounting documents are properly maintained and readily available for audit purposes.
- Assist with SST & e-invoicing documentation and other statutory or regulatory requirements, where applicable.
7. General Finance & Administrative Support
- Maintain proper filing and organisation of accounting and financial documents.
- Assist in intercompany transactions and reconciliations where required.
- Liaise with suppliers, customers, banks and internal departments on finance-related matters.
- Perform other accounting, finance and administrative duties assigned by the Finance Manager from time to time.
Requirements
- Diploma or Bachelor's Degree in Accounting, Finance, Business Administration or a related field.
- Fresh graduates are encouraged to apply.
- Candidates with 1–2 years of relevant accounting experience will have an added advantage.
- Basic understanding of accounting principles, double-entry bookkeeping and financial documentation.
- Familiarity with accounting software (Autocount Accounting) will be an advantage.
- Proficient in Microsoft Excel, Word and other Microsoft Office applications.
- Good command of written and spoken English and Bahasa Malaysia.
- Able to work independently as well as part of a team.
- Willing to learn and take on additional responsibilities as the role develops.
Pay: RM2,299.00 - RM2,500.00 per month
Benefits:
- Free parking
- Maternity leave
Work Location: In person