Assistant Manager - General Ledger

KLN Logistics Group

Selangor

On-site

MYR 67,000 - 134,000

Full time

31 hours ago
Be an early applicant
Application generator

Turn this role into an interview — a resume and cover letter built around what this employer wants.

Get past ATS filters

Job summary

KLN Logistics Group in Malaysia (Selangor) seeks a General Ledger professional to manage full GL activities, prepare financial reports, and support month-end and year-end closings. You will coordinate with Group Finance and auditors, perform reconciliations, and drive process improvements.

The role requires 3–5 years of relevant experience, ACCA/CPA is a plus, strong Excel skills, and a focus on accuracy and compliance with accounting standards.

Qualifications

  • Bachelor’s Degree in Accounting, Finance or related field.
  • ACCA/CPA/CIMA or equivalent adds advantage.
  • 3–5 years in GL, financial reporting, or full-set accounting.
  • Strong knowledge of accounting principles, standards, and controls.
  • Experience with intercompany transactions and reconciliations preferred.
  • Proficient in Excel with advanced functions.

Responsibilities

  • Manage GL activities and ensure timely recording of transactions.
  • Coordinate month-end/year-end closing and reconciliations.
  • Prepare financial statements and management reports.
  • Analyze results and explain variances to management.
  • Support intercompany accounting and group reporting.
  • Assist audits and ensure compliance with standards.
  • Contribute to budgeting, forecasting and process improvements.

Skills

General Ledger
Financial reporting
Month-end closing
Intercompany transactions
Excel

Education

Bachelor’s Degree in Accounting
ACCA/CPA/CIMA or equivalent

Tools

Excel
PivotTables
VLOOKUP

Job description

The General Ledger role is responsible for managing and maintaining accurate and timely accounting records, overseeing General Ledger activities, and supporting month-end and year-end closing processes. The role will be responsible for preparing financial reports, performing account reconciliations, analysing financial results, and ensuring compliance with applicable accounting standards, statutory requirements, and internal policies.

The position will work closely with internal stakeholders, auditors, tax agents, and Group/Regional Finance teams to ensure accurate financial reporting and timely completion of accounting and reporting requirements. The role will also support budgeting, forecasting, financial analysis, internal controls, and continuous improvement of finance processes and systems.

Responsibilities
1. General Ledger & Accounting
  • Manage the full spectrum of General Ledger (GL) activities, ensuring all financial transactions are accurately and timely recorded.
  • Review, verify, and post journal entries, including accruals, prepayments, provisions, depreciation, reclassifications, and other adjustment entries.
  • Ensure proper classification and allocation of income, expenses, assets, and liabilities to the appropriate accounts and cost centres.
  • Maintain accurate and up-to-date accounting records in accordance with applicable accounting standards and company policies.
  • Monitor and clear outstanding and unusual GL items on a timely basis.
2. Month-End & Year-End Closing
  • Coordinate and perform month-end, quarter-end, and year-end closing activities in accordance with the established closing timetable.
  • Prepare and review month-end journals, accruals, provisions, prepayments, depreciation, and other closing adjustments.
  • Perform balance sheet account reconciliations and ensure reconciling items are investigated and resolved promptly.
  • Review the completeness and accuracy of financial information before closing the accounting period.
  • Support the preparation of year-end closing schedules and statutory accounts.
  • Prepare monthly financial reports and management reports, including Profit & Loss, Balance Sheet, Cash Flow, and other financial schedules.
  • Analyse financial results against budget, forecast, and prior periods, and highlight significant variances and trends.
  • Provide financial information and analysis to management to support business and financial decision-making.
  • Prepare financial schedules and supporting reports for management review.
  • Ensure financial reports are accurate, complete, and submitted within the required deadlines.
  • Perform regular reconciliation of balance sheet and other key accounts, including bank accounts, intercompany balances, accruals, prepayments, fixed assets, and other relevant accounts.
  • Investigate discrepancies and ensure outstanding reconciling items is followed up and resolved promptly.
  • Maintain proper supporting documentation for all reconciliations and accounting adjustments.
5. Intercompany & Group Accounting
  • Manage intercompany transactions and ensure balances are accurately recorded and reconciled between related entities.
  • Coordinate with other business units and finance teams to resolve intercompany discrepancies and ensure timely month-end closing.
  • Prepare and maintain intercompany schedules and supporting documentation.
  • Ensure intercompany transactions comply with Group accounting policies and established procedures.
6. Budgeting & Forecasting
  • Support the preparation of annual budgets, financial forecasts, and periodic reforecasts.
  • Analyse actual results against budget and forecast, identify significant variances, and provide explanations to management.
  • Assist in preparing financial projections and other financial analysis as required.
7. Audit & Compliance
  • Support internal and external audits by preparing audit schedules, supporting documents, reconciliations, and other information requested by auditors.
  • Liaise with auditors and relevant internal stakeholders to address audit queries and follow up on audit findings.
  • Ensure accounting records and financial reporting comply with applicable accounting standards, statutory requirements, Group policies, and internal controls.
  • Maintain proper documentation and audit trails for financial transactions.
8. Tax & Statutory Support
  • Assist in providing financial information and supporting schedules required for tax computation, statutory reporting, and other regulatory submissions.
  • Liaise with tax agents, auditors, and relevant parties on accounting and financial matters when required.
  • Ensure required accounting records and supporting documents are maintained in accordance with statutory and regulatory requirements.
9. Fixed Assets & Other Accounting Areas
  • Maintain and monitor the fixed asset register, including additions, disposals, transfers, depreciation, and impairment where applicable.
  • Review fixed asset balances and ensure transactions are properly recorded and supported.
  • Support other accounting areas and financial activities as assigned by the Finance Manager or Head of Finance.
10. Internal Controls & Process Improvement
  • Ensure compliance with established finance policies, procedures, approval processes, and internal controls.
  • Identify control gaps, accounting issues, and process inefficiencies and recommend appropriate improvements.
  • Participate in finance system enhancements, process automation, and other initiatives to improve efficiency and accuracy.
  • Ensure proper segregation of duties and adherence to financial control requirements.
11. Stakeholder Management
  • Work closely with Finance, Accounts Payable, Accounts Receivable, Treasury, Tax, Operations, and other business functions to ensure accurate and timely financial reporting.
  • Provide accounting support and guidance to internal stakeholders on financial and accounting matters.
  • Coordinate with regional or Group Finance teams on reporting requirements, accounting matters, and financial information.
  • Respond to ad hoc financial and accounting queries from management and internal stakeholders.
12. Other Responsibilities
  • Assist in the preparation of financial analysis, management presentations, and ad hoc reports as required.
  • Support finance projects, system implementations, process improvements, and other initiatives.
  • Perform other duties and responsibilities as assigned by the Finance Manager, Head of Finance, or Management.
Qualifications
  • Bachelor’s Degree in Accounting, Finance, or a related discipline.
  • Professional accounting qualification such as ACCA, CPA, CIMA, or equivalent will be an added advantage.
  • Minimum 3–5 years of relevant experience in General Ledger, financial reporting, or full-set accounting, preferably within a multinational or corporate environment.
  • Strong knowledge of accounting principles, financial reporting, and month-end/year-end closing processes.
  • Good understanding of applicable accounting standards, statutory requirements, and internal controls.
  • Hands‑on experience in preparing financial statements, management reports, and account reconciliations.
  • Experience in handling intercompany transactions and reconciliations is preferred.
  • Experience in budgeting, forecasting, and financial analysis will be an advantage.
  • Proficient in Microsoft Excel, including functions such as PivotTables, VLOOKUP/XLOOKUP, and other financial analysis tools.
Get your free, confidential resume review.

or drag and drop your file here.

Similar jobs

Similar jobs worth comparing

Finance Assistant Manager (GL Reporting)
Finance Assistant Manager (GL Reporting)

Private Advertiser • Subang Jaya

On-site
MYR 89,000 - 179,000
GL Accountant
GL Accountant

Randstad Malaysia • Kuala Lumpur

On-site
MYR 70,000 - 110,000
Senior Analyst - Finance
Senior Analyst - Finance

Randstad Malaysia • Kuala Lumpur

On-site
MYR 56,000 - 100,000
Executive, Finance & Accounts (General Ledger)
Executive, Finance & Accounts (General Ledger)

Hospital Picaso • Selangor

On-site
MYR 45,000 - 73,000
Finance Executive
Finance Executive

Confidential • Puchong

On-site
MYR 56,000 - 78,000
Accountant
Accountant

Vrscayman • George Town

On-site
MYR 70,000 - 110,000
Assistant Finance Manager
Assistant Finance Manager

Sim Leisure Escape Sdn. Bhd. • Petaling Jaya

On-site
MYR 67,000 - 100,000
Finance Manager
Finance Manager

Infiniti Indah Sdn. Bhd. • Kuantan

On-site
MYR 120,000 - 180,000
ASSISTANT ACCOUNT MANAGER
ASSISTANT ACCOUNT MANAGER

PT RESOURCES HOLDINGS BERHAD • Kuala Lumpur

On-site
MYR 90,000 - 130,000
Senior Accountant
Senior Accountant

SMEC (an SJ Group company) • Kuala Lumpur

On-site
MYR 90,000 - 130,000