Finance Executive

MAS Aero Services

Kuala Lumpur

On-site

MYR 45,000 - 73,000

Full time

4 days ago
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Job summary

Jora Malaysia is seeking a competent accounting professional to maintain financial records, post journals, and support monthly closes.

You will manage supplier invoices, payments, payroll claims, and customer invoicing, monitor cash flow, prepare reports, assist budgeting and tax filings, and coordinate with auditors to ensure compliance.

Qualifications

  • Maintain accurate financial records and post journal entries.
  • Reconcile accounts and ensure timely monthly close.
  • Process supplier invoices, payments and staff claims.
  • Monitor customer accounts, issue invoices, and follow up on outstanding payments.
  • Handle daily bank reconciliations and cash flow monitoring.
  • Prepare monthly financial reports (P&L, balance sheet).
  • Assist in budgeting and variance analysis.
  • Ensure compliance with tax regulations and assist in tax filings (GST/VAT, corporate tax).
  • Liaise with auditors during annual audits and provide documentation.

Responsibilities

  • Maintain up-to-date financial records per company policies.
  • Post journals and reconcile accounts for monthly close.
  • Process supplier invoices and vendor payments.
  • Invoicing, collections, and cash flow monitoring.
  • Support budget prep and variance analysis.
  • Assist tax filings and audits as needed.

Skills

Accounting
Bookkeeping
Financial reporting
Tax knowledge

Job description

Jora Malaysia will close on 16th September 2026. Thank you for being with us, we are cheering you on as you continue your career journey.

Maintain accurate and up-to-date financial records in compliance with company policies and statutory requirements

Prepare and post journal entries, reconcile accounts, and ensure timely closing of monthly accounts

Process supplier invoices, payments, and staff claims

Monitor customer accounts, issue invoices, and follow up on outstanding payments

Handle daily bank reconciliations and monitor cash flow

Assist in managing petty cash and ensuring proper documentation

Prepare monthly financial reports, including profit and loss statements and balance sheets

Assist in budget preparation and variance analysis

Ensure compliance with tax regulations and assist in tax filings (e.g., GST/VAT, corporate tax)

Liaise with auditors during annual audits and provide necessary documentation

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