Accountant

Juxta Films Sdn Bhd

Johor Bahru

On-site

MYR 60,000 - 96,000

Full time

14 days+
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Job summary

Juxta Films Sdn Bhd in Malaysia is seeking an experienced accountant to manage the full set of accounts, ensure financial accuracy, and support management with timely financial reporting. Responsibilities include GL/AP/AR, bank reconciliations, month-end closing, preparing management accounts and financial statements, plus budgeting, cash flow monitoring, and internal controls.

You will coordinate with external auditors and tax agents while ensuring compliance with Malaysian standards, SST, and

Qualifications

  • Manage the full set of accounts including GL, AP, AR, and month-end/year-end closing.
  • Ensure compliance with Malaysian accounting standards, SST, taxation, and statutory requirements.
  • Prepare monthly management accounts and financial statements.

Responsibilities

  • Handle the full set of accounts, including General Ledger (GL), Accounts Payable (AP), Accounts Receivable (AR), bank reconciliation, and month-end/year-end closing.
  • Prepare monthly management accounts, financial statements, and supporting schedules.
  • Perform account reconciliations and ensure the accuracy of financial records.
  • Monitor inventory transactions and maintain accurate accounting treatment.
  • Ensure compliance with Malaysian accounting standards, SST, taxation, and statutory requirements.
  • Liaise with external auditors, tax agents, company secretaries, and government authorities.
  • Assist in budgeting, cash flow monitoring, financial analysis, and reporting.
  • Support process improvements and strengthen internal financial controls.
  • Handle ad hoc accounting and finance-related duties assigned by management.

Job description

Jora Malaysia will close on 9th September 2026. Thank you for being with us, we are cheering you on as you continue your career journey.

We are a Malaysia-basedFilm Distribution & Production Companywith long-term collaborations across international markets, including established working relationships withproduction teams and business partners in China.

Our day-to-day operations involve working closely with partners from different countries and communicating across multiple languages. As such,proficiency in Chinese, English, and Malay would be an advantage, particularly when communicating and coordinating with our overseas partners and production teams.

You will be responsible for managing the company's full set of accounts, ensuring financial accuracy, maintaining compliance, and supporting management with timely and accurate financial reporting.

About the Company

We are a Malaysia-basedFilm Distribution & Production Companywith long-term collaborations across international markets, including established working relationships withproduction teams and business partners in China.

Our day-to-day operations involve working closely with partners from different countries and communicating across multiple languages. As such,proficiency in Chinese, English, and Malay would be an advantage, particularly when communicating and coordinating with our overseas partners and production teams.

You will be responsible for managing the company's full set of accounts, ensuring financial accuracy, maintaining compliance, and supporting management with timely and accurate financial reporting.

Key Responsibilities
  • Handle the full set of accounts, including General Ledger (GL), Accounts Payable (AP), Accounts Receivable (AR), bank reconciliation, and month-end/year-end closing.
  • Prepare monthly management accounts, financial statements, and supporting schedules.
  • Perform account reconciliations and ensure the accuracy of financial records.
  • Monitor inventory transactions and maintain accurate accounting treatment.
  • Ensure compliance with Malaysian accounting standards, SST, taxation, and statutory requirements.
  • Liaise with external auditors, tax agents, company secretaries, and government authorities.
  • Assist in budgeting, cash flow monitoring, financial analysis, and reporting.
  • Support process improvements and strengthen internal financial controls.
  • Handle ad hoc accounting and finance-related duties assigned by management.

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