Client Accounts & Audit Specialist

Athenor Advisory Sdn Bhd

Kuching

On-site

MYR 39,000 - 61,000

Full time

14 days+
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Job summary

Athenor Advisory Sdn Bhd in Kuching, Malaysia, is seeking an Account Executive to manage the full set of accounts for assigned clients and prepare monthly and yearly financial statements.

You will perform bank reconciliations and journal entries, maintain accounting records, liaise with clients for documents, assist in audit preparation and statutory reporting, and handle SST submissions where applicable. Proficiency with SQL or Autocount is a plus, and you will support junior staff as needed.

Qualifications

  • Handle full set of accounts for assigned client.
  • Prepare monthly and yearly financial statements.
  • Perform bank reconciliations and journal entries.
  • Maintain proper accounting records and schedules.
  • Liaise with clients to obtain accounting documents.
  • Assist in audit preparation and statutory reporting.
  • Handle SST submissions (if applicable).
  • Use accounting software (SQL / Autocount).
  • Support and guide junior staff when required.

Responsibilities

  • Handle full set of accounts for assigned client.
  • Prepare monthly and yearly financial statements.
  • Perform bank reconciliations and journal entries.
  • Maintain proper accounting records and schedules.
  • Liaise with clients to obtain accounting documents.
  • Assist in audit preparation and statutory reporting.
  • Handle SST submissions (if applicable).
  • Use accounting software (SQL / Autocount).
  • Support and guide junior staff when required.
  • Ensure work is completed accurately and on time.

Skills

Financial accounting
Bank reconciliation
Journal entries
Audit support
SST knowledge

Tools

SQL
Autocount

Job description

Athenor Advisory Sdn Bhd in Kuching, Malaysia, is seeking an Account Executive to manage the full set of accounts for assigned clients and prepare monthly and yearly financial statements.

You will perform bank reconciliations and journal entries, maintain accounting records, liaise with clients for documents, assist in audit preparation and statutory reporting, and handle SST submissions where applicable. Proficiency with SQL or Autocount is a plus, and you will support junior staff as needed.

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