Principal Accountabilities
(Purpose, major duties performed and performance standards to be achieved)
- Ensure all collections and income are complete, accurate and on-time
- Ensure all payment and expenses are complete, accurate and on-time
- To prepare, understand, analyze, and interpret the full set of accounts
- To be responsive for the accounting operations
- Supervise the works of sub-ordinates
Scope and Responsibilities
(Identify functions and tasks performed)
FINANCIAL ACCOUNTING (FA)
(Ensure the management reports is presented in true and fair view)
- Performing day to day accounting operations
- Monitor collection and payment to ensure is up to date based on customer and supplier term
- Prepare bank reconciliation and monitor daily bank balances
- Preparing the full set of accounts monthly ie. management reports and other accounts related matters
- Liaising with external auditors, tax consultant, bankers and other governing authority pertaining to statutory requirements.
- Ensure proper maintenance of documentation and filing to support all accounting entries
- To liaise with all departments regarding source documents and information relating to the accounts
- Assist and support in project related review / budgeting / accounting and revenue recognition, extract annual cost incurred to-date, monitor profitability
- To undertake any other work as assigned by the Accounts Manager from time to time
ACCOUNT RECEIVABLE (AR)
(To assist in ensuring all collection and income are complete, accurate and on-time)
- Completes collections and controls income by receiving, processing, verifying, and reconciling invoices.
- Keeping track of all collections and sales revenue, including official receipt, invoices, statements, etc.
- Recognized income to accounts and cost centres by analysing invoice/income reports, recording entries.
- Reconciling processed work by verifying entries and comparing system report to balances
- Receiving collection from customer by arrange cold call, reminder letter and ensuring collection is received for outstanding credit; generally responding to all customer enquiries regarding finance
- Preparing analyses of accounts and producing monthly reports
- Verifies customer accounts by reconciling monthly statements and related transactions.
- Maintaining historical records
- Generate ageing analysis, review AR ageing to ensure compliance and perform manual allocation for unautomated allocation
- Continuing to improve the income recognition and collection process
ACCOUNT PAYABLES (AP)
(To assist in ensuring all payments and expenses are complete, accurate and on-time)
- Completes payments and controls expenses by receiving, processing, verifying, and reconciling invoices.
- Keeping track of all payments and expenditures, including payroll, invoices, statements, etc.
- Charges expenses to accounts and cost centres by analyzing invoice/expense reports, recording entries.
- Reconciling processed work by verifying entries and comparing system reports to balances
- Paying employees by verifying expense reports and preparing payments
- Paying vendors by scheduling payments and ensuring payment is received for outstanding credit; generally responding to all vendor enquiries regarding finance
- Preparing analyses of accounts and producing monthly reports
- Verifies vendor accounts by reconciling monthly statements and related transactions.
- Maintaining historical records
- Generate ageing analysis, review AP ageing to ensure compliance and perform manual allocation for unautomated allocation
- Continuing to improve the capture of expenditure and payment process
Perks & Benefits
- Employee equity
- Commission and bonus
- Allowance (travel stipends, transportation, etc.)
- Central location
- Free snacks / Happy hours
- Personal leave
- Personal development opportunities
- Paid training and development
Job Location
Aurora Place, B-04-22, Plaza Bukit Jalil, 1, Persiaran Jalil 1, Bandar Bukit Jalil, 57000 Kuala Lumpur
Click to view the location on Google maps