Account Clerk

4 days ago


Seremban, Malaysia GEOMAJU SDN BHD Full time

**Job descriptions ;**
- Preparation of Project Accounting and monthly management accounts.
- Develop financial strategies by analyzing financial and accounting information, recommend strategic direction and establish functional objectives in line with the Company objectives.
- Responsible to manage and coordinating the Finance and Accounts function of the Group of Companies
- Capable to close full set accounts and prepare financial report in timely manner.
- Familiar with the process flow of doing inter-company transfer, bank reconciliation, payment vouchers, debit/credit notes, invoices, journal vouchers etc.
- To coordinate with the relevant subsidiary/department for monthly inventory count and reconciliation exercise.
- To assist or prepare the group business analysis reports or any ad-hoc financial costing and forecasting reports as and when required
- Manage cash flow and yearly budget for the companies in charge
- To liaise with internal and external auditors about the audit findings.
- To ensure the existing finance and accounting process flows comply with Statutory requirement.
- To act as representative of the company when liaising with tax agents, bankers, company secretaries and regulatory Authorities.
- To assist for the preparation of quarterly announcement and board papers (if needed)
- Responsible for financial planning and budgetary control, financial reporting, treasury, funding, bank restructuring, tax planning & management and policy development to ensure financial target compliance accounting standards and statutory regulation.
- Prepare monthly, periodic, and yearly cash flow statements as of when requested updated with schedule payments, banking facilities and cash inflows.
- Assist in providing the group and management with business analysis on financial, tax, regulatory and compliance matters.
- Other ad hoc assignments by the superior from time to time.
- Analyze Company business and operations by identifying opportunities for improvement, cost reduction and systems enhancement.
- Develop action plans for capital forecast, facilities, staff requirements and identify monetary resources.
- Responsible for financial planning and budgetary control, financial reporting, treasury, funding, bank restructuring, tax planning & management and policy development to ensure financial target compliance with accounting standards and statutory regulation.
- Coordinate with the management team in preparing financial forecasts, budgets and cash flow management.
- Documenting financial transactions and recommending financial actions by analyzing accounting options.
- Prepare monthly, periodic, and yearly cash flow statements as of and when request updated with schedule payments, banking facilities, and cash inflows.
- Assist in providing the group and management with business analysis on financial, tax, regulatory and compliance matters.
- Other ad hoc assignment by the superior from time to time.

**Requirements ;**
- SPM, Diploma/Advanced/Higher/Graduate in Finance/Accountancy/Banking or Equivalent.
- Minimum 1-2 years of experience prefer in construction industries and able to do a full set of accounts.
- Required skill (s): MS Excel, MS Ofice, SQL accounting system will be an advantage.
- Excellent communication in English internally and externally
- Able to work as a team and build a good working relationship with management and employee
- Able to work under pressure in a fast-paced environment
- Good Multitasking and time-management skills, with the ability to prioritize tasks.

**Job Types**: Full-time, Permanent

Pay: RM2,000.00 - RM2,500.00 per month

**Benefits**:

- Free parking
- Maternity leave
- Opportunities for promotion
- Professional development

Schedule:

- Day shift
- Monday to Friday
- Weekend jobs

Supplemental Pay:

- Attendance bonus
- Yearly bonus

**Education**:

- Diploma/Advanced Diploma (preferred)

**Experience**:

- Accounting: 2 years (required)

Expected Start Date: 05/05/2025



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