Account Executive (IMMEDIATE HIRING)
Yicai Construction Kluang Full-time
Handle Full Set Account (AP, AR, GL, Petty cash, Bank Recon, SST and E-Invoice)
- Process and verify invoices, ensuring accurate and timely posting in the accounting system.
- Manage Accounts Payable (AP) and Accounts Receivable (AR) functions, including billing, collections, and payments.
- Supervise petty cash and staff expense claims, ensuring compliance with company policies and regulations.
- Prepare monthly reconciliations, including bank reconciliations and selected balance sheet schedules.
- Assist with month-end and year-end closing activities.
- Prepare supporting schedules and documentation for audits, and respond to audit queries promptly.
- Monitor outstanding receivables and follow up on overdue payments.
- Support management with ad-hoc accounting, finance, and administrative tasks.
- Perform other finance-related duties as assigned.
- Diploma or Degree in Accounting, Finance, or related field.
- 1–3 years of relevant working experience.
- Basic knowledge of AR, AP, and accounting processes.
- Familiarity with accounting systems and Microsoft Excel.
- Strong attention to detail, well-organized, and able to meet deadlines.
- Effective communication skills with internal and external stakeholders.
- Advantage if can speak Mandarin to liase with Chinese client
Sin Lian GroupKluang
1. Financial reporting
2. Budgeting & foecasting
3. Compliance & audit
4. Team management
5. Accounts payable & receivable
6. Financial strategy
7. Accounting software development & implementation
1. SPM and UEC Graduate is welcome
2. ...
Diesel Truck Sdn BhdKluang
Bertanggungjawab untuk pemprosesan akaun keseluruhan
• Menguruskan akaun belum bayar (AP) dan akaun belum terima (AR)
• Menyediakan penyata kewangan bulanan dan melengkapkan penutupan akaun tepat pada masanya
• Menyelenggara rekod dan dokumen...
Diesel Truck Sdn BhdKluang
Responsible for overall accounting processing
• Manage accounts payable (AP) and accounts receivable (AR)
• Prepare monthly financial statements and complete month-end closing on time
• Maintain accurate accounting records and documents