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Finance & Accounting

Talent Information

Kajang, Selangor


About Me

  • Preparation of monthly financial reports (Reconcile bank statements, Prepare and post monthly journals, Preparation to trial balance stage of Statement of Income and Expenditure and Financial Position)
  • Administer the accounts payable function and maintain appropriate records. Check to ensure all payments are properly authorised.
  • Assist with pursuing overdue debtors.
  •  Prepare monthly SST returns and submit to IRB.
  • Process staff expense claims and ensure the claims are properly authorised.
  • Cash Management (Maintain Bank Balance information, Maintain Petty Cash records, Maintain Cash Book data entry)
  • Undertake other assigned tasks as required and general administrative support



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