Job Description

DUTIES & RESPONSIBILITIES:

Operational Works

  • Monitoring daily bank transaction.
  • Monitor outflow (payment) & inflow (collection) transaction.
  • Preparing payment, receipt, credit note, debit note & journal vaucher
  • Bank reconciliation, creditor & debtor reconciliation.
  • Supervise the assistant to ensure deadlines are met
  • Monitoring rental collection
  • Sending the reminder to the delinquent tenant
  • Checking the documents from other department for payment purpose
  • Compiling and analyzing data to find error in account.
  • Verifying ledger & account and making corrections
  • Updating & checking monthly interest (monthly statement)
  • Assist in Audit query & Tax query.
  • Dealing with bankers, tenants & suppliers for any enquiry and account matter

Reporting

To prepare monthly financial report for month end closing.

  • Updating Profit & Loss, balance shee...

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