Accounts & Audit Specialist

VEL MANAGEMENT SDN. BHD.

Petaling Jaya

On-site

MYR 56,000 - 89,000

Full time

14 days+
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Job summary

VEL MANAGEMENT SDN. BHD. in Selangor is seeking an accounting professional to prepare a full set of accounts and financial statements for clients. You will compile asset, liability and capital entries and summarise financial status with balance sheets and P&L statements.

Responsibilities include monthly SST review, SST returns, annual tax computations, and liaising with external parties to ensure accurate reporting and timely submissions, including e-Invoice reconciliations where applicable.

Qualifications

  • Prepare a full set of accounts for multiple clients.
  • Compile and analyse asset, liability and capital entries.
  • Summarise financial status with balance sheets and income statements.
  • Prepare clients' financial statements and annual tax computations.
  • Review monthly SST and file SST returns.
  • Conduct monthly bank/account reconciliations for clients with e-Invoices.
  • Liaise with external parties to ensure accurate reporting.

Responsibilities

  • Prepare a full set of accounts for clients.
  • Prepare asset, liability, and capital entries by compiling and analysing information.
  • Summarises current financial status by collecting information: balance sheet, profit and loss, and reports.
  • Prepare clients' financial statements and annual tax computations.
  • Review monthly SST, compute and file SST returns.
  • Monthly checking of accounts for clients with e-Invoices.
  • Liaise with external parties to ensure accuracy and timeliness.

Job description

VEL MANAGEMENT SDN. BHD. in Selangor is seeking an accounting professional to prepare a full set of accounts and financial statements for clients. You will compile asset, liability and capital entries and summarise financial status with balance sheets and P&L statements.

Responsibilities include monthly SST review, SST returns, annual tax computations, and liaising with external parties to ensure accurate reporting and timely submissions, including e-Invoice reconciliations where applicable.

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