Accounts Executive: Invoicing, Payments & Reconciliation

Nawawi Tie Leung Property Consultants Sdn. Bhd.

Putrajaya

On-site

MYR 36,000 - 60,000

Full time

14 days+
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Job summary

Nawawi Tie Leung Property Consultants Sdn. Bhd. is seeking anAccounts Executive in Malaysia to handle supplier invoices, verify claims, and prepare payment vouchers.

The role also involves issuing invoices, following up on outstanding payments, and performing bank reconciliations to ensure accurate financial records. You will assist in SST compliance documentation and support month-end or year-end closing processes, contributing to smooth financial operations and timely reporting for the firm

Qualifications

  • 1–2 years of experience as Accounts Executive.
  • Bachelor's Degree in Accounting, Finance, or related field.
  • Proficient in Microsoft Excel (VLOOKUP, pivot tables).
  • Familiarity with SAP, UBS, or SQL is an advantage.
  • Strong English and Bahasa language skills.
  • Own transport.

Responsibilities

  • Process supplier invoices, verify claims, and prepare payment vouchers.
  • Issue invoices and follow up with clients on outstanding payments.
  • Perform daily or monthly bank reconciliations and verify discrepancies.
  • Enter key financial data into the company’s accounting software.
  • Maintain filing of financial records, receipts, and supporting documents.
  • Assist in SST documentation and month-end or year-end closing.

Skills

English proficiency
Bahasa proficiency
Attention to detail
Time management

Education

Bachelor's Degree in Accounting/Finance

Tools

SAP
UBS
SQL
Excel

Job description

Nawawi Tie Leung Property Consultants Sdn. Bhd. is seeking anAccounts Executive in Malaysia to handle supplier invoices, verify claims, and prepare payment vouchers.

The role also involves issuing invoices, following up on outstanding payments, and performing bank reconciliations to ensure accurate financial records. You will assist in SST compliance documentation and support month-end or year-end closing processes, contributing to smooth financial operations and timely reporting for the firm

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