Job Description

Job Responsibilities:

  • Maintain full sets of accounts for semi-active companies, prepare monthly management reports, and perform financial analysis to support decision-making.
  • Responsible for performing cash sales transactions, managing accounts payable and receivable, and maintaining general ledger entries, with a strong emphasis on accuracy and attention to detail.
  • Record business and petty cash transactions, monitor bank balances to ensure sufficient cash flow, and assist with treasury-related activities.
  • Manage intercompany transactions and allocate charges correctly.
  • Liaise with external parties including bankers, auditors, tax agents, and the company secretary; manage audit processes, address audit queries, and handle all tax-related and company secretarial documentation.
  • Perform any ad-hoc duties as assigned by superiors.

Requirements:

  • Degree in accounting or professional accounting qualificatio...

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