Job description – Sr Accounts Executive
- Check bank balance, update cashbook record & perform bank reconciliation.
- Perform outgoing payments transactions including all the necessary clearing in accounting system & prepare other approval request.
- Charge out prepayment entries for the month.
- Perform fx hedging for BU including registering record, rates comparisons & liaise with the banks & proceed with payment upon contract matures.
- Take charge of asset management including depreciation run, performs physical asset count and support for budget depreciation estimate.
- Perform weekly monitoring on interfaced entries and suspense account clearing to ensure all interface entries are translated accurately.
- Responsible for month end close activities for MTC in treasury & accounting systems.
- Generate e-invoice & self-billed e-invoice for both interest income & interest expense related transactions.
- Support in month end schedule report.
- Prepare & submit report to BNM on quarterly basis.
- Any other ad-hoc assignment assigned by immediate superior.
Requirement:
- Strong finance* background with minimum Degree in Accounting or Finance (preferably treasury*).
- Capable in transactional posting related to payment, fixed asset management & general ledger.
- Basic understanding in withholding tax and corporate tax.
- Able to process journal entries & handling end-to-end preparation of financial statements.
- Proficient in Microsoft Excel & SAP HANA.