Finance Executive — Project-Focused Accounting & Growth

BRIGHT PROPERTY SERVICE (MALAYSIA) SDN. BHD.

Gelang Patah

On-site

MYR 39,000 - 61,000

Full time

14 days+
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Benefits offered by this job

Transport/Phone/Meals allowance
Medical Card
Accommodation Provided
Festival celebrations
Public holidays up to 18 days
Annual leave up to 14 days

Job summary

Bright Property Service (M) Sdn Bhd is seeking a Finance Executive to manage month-end/year-end closing, reconcile ledgers, and prepare the full set of management accounts. You will oversee cashbooks, journal entries, and reconciliations, ensuring accuracy and timeliness.

The role supports budgeting, cash flow monitoring, and management reporting, with involvement in audits, tax, and compliance. Fresh graduates are welcome; travel to project sites may be required.

Qualifications

  • Preferable with Certificate (LCCI), Diploma or Degree in Finance, Accounting, and other relevant fields.
  • Experience in ERP/SAP/AutoCAD systems is an added advantage.
  • At least 1 year of accounting experience. Fresh graduates are welcome.

Responsibilities

  • Responsible for timely and accurate month-end and year-end closing of accounts.
  • Prepare and maintain full set of management accounts, including journals and reconciliations.
  • Monitor billing, collections, and accounts receivable management with follow-up on overdue balances.
  • Liaise with business units and external stakeholders to ensure timely project final accounts.
  • Review and maintain cashbook, payment schedules, and daily financial transactions.
  • Assist budgeting, cash flow monitoring, financial analysis and management reporting.
  • Support audit, tax, and statutory compliance matters and ensure internal controls.
  • Identify opportunities for process improvements and ad hoc projects as assigned.

Skills

Financial accounting
Budgeting
Financial reporting

Education

Certificate/LCCI

Tools

ERP/SAP
AutoCAD

Job description

Bright Property Service (M) Sdn Bhd is seeking a Finance Executive to manage month-end/year-end closing, reconcile ledgers, and prepare the full set of management accounts. You will oversee cashbooks, journal entries, and reconciliations, ensuring accuracy and timeliness.

The role supports budgeting, cash flow monitoring, and management reporting, with involvement in audits, tax, and compliance. Fresh graduates are welcome; travel to project sites may be required.

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