- Puchong Selangor Malaysia
Lokasi Kerja
Penerangan Kerja
Tanggungjawab
Job Summary
Responsible for end-to-end financial operations across multiple entities, including invoicing, payment processing, bank reconciliation, and tender documentation. Ensure compliance with statutory requirements, internal policies, and deadlines. Collaborate with cross-functional teams to support business operations and provide accurate financial insights for decision-making.
Job Responsibilities
1. Accounts Receivable
Manage customer invoicing and credit/debit notes, ensuring accuracy and timely issuance. Maintain updated debtor ageing reports and proactively follow up on outstanding payments.
- Issue Invoice for small Sales Order
- Issue proforma invoice
- Issue CN/DN
- E-invoice submission
- Issue official receipt
- Email Statement of account to customer
- Update debtor ageing report
- Prepare reminder letters to Customer
2. Accounts Payable
Handle vendor payments, including audit, tax, and statutory payment. Ensure proper documentation and compliance with payment schedules.
- Prepare payment voucher
- Prepare Journal voucher
- Monitor creditor ageing
- Prepare creditors ageing report (weekly)
- Reconciliation statement of account Creditor
3. Banking & Reconciliation
Perform monthly bank reconciliations, monitor cash flow, and update bank balances for tender requirements. Address discrepancies promptly.
- Download bank statement and run bank reconciliation (monthly)
- Update bank balance for tender
- Prepare cashflow statement (monthly)
4. Tender Support
Coordinate tender documentation, prepare supporting letters, and liaise with banks to meet submission timelines. Maintain confidentiality and accuracy of financial data.
- Prepare supporting letters
- Compile tender documents
- Liaise with banks for tender process (CA form)
- Liaise with Business Development Team
- Attend Tender Meeting
5. Reporting
Prepare monthly management accounts and collection reports. Support audits and provide financial analysis to management.
- Collection Report
- Monthly Management Account
- Tax analysis
Requirement
Minimum 2-3 years of experience in finance or accounting roles.
- Strong analytical and organizational skills.
- Excellent communication and interpersonal skills.
- Ability to work independently and as part of a team.
- Diploma/Degree in Accounting/Finance
- Knowledge of invoicing, bank reconciliation, and tender documentation
- Proficiency in MS Excel and accounting systems (QNE System / Auto count)
- Attention to detail and ability to meet deadlines
- Prior exposure to ICT, Construction, ELV, or project-based industries is preferred and will be considered an advantage.
Performance Expectations
- Ensure 100% compliance with statutory and internal deadlines.
- Maintain accuracy in financial records and reporting.
- Demonstrate proactive communication and problem-solving skills.
- Support continuous improvement in financial processes.
Job Types: Full-time, Permanent
Pay: RM4,000.00 - RM5,500.00 per month
Benefits:
Work Location: In person
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.