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A leading company in finance in Malaysia is seeking a reliable Account Executive to manage the full set of accounts for multiple entities. This role requires strong accounting fundamentals, compliance knowledge, and the ability to handle multi-currency transactions. Candidates should have a diploma or degree in accounting and a minimum of 2–5 years’ experience. Benefits include annual leave, medical leave, and training provided.
We are seeking a reliable and hands-on Account Executive to manage full set of accounts for multiple entities within the group. This role requires strong accounting fundamentals, compliance knowledge, and the ability to handle multi-currency transactions and multiple companies. Experience in group account consolidation will be a strong advantage. This position will play a key role in supporting management by ensuring accurate financial reporting, statutory compliance, and smooth coordination with external parties.
Requirements
Diploma or Degree in Accounting, Finance, or related field
Minimum 2–5 years’ experience in handling full set of accounts
Solid knowledge of Malaysian accounting standards and tax regulations
Experience in multi-currency accounting is required
Experience in group consolidation is an added advantage
Comfortable handling multiple companies / accounts
Familiar with SST, WHT, e-Invoice, and statutory compliance
Able to liaise confidently with auditors, tax agents, and company secretaries
Proficient in accounting software and Microsoft Excel
Strong attention to detail, organised, and deadline-driven
Able to work independently with minimal supervision
Added Advantages (Good to Have)
Experience in car rental, travel, or service-based industries
Exposure to intercompany transactions and related party reporting
Experience supporting management reporting and operational finance
Familiarity with Xero Accounting
Responsibilities
Handle full set of accounts including AP, AR, GL, bank reconciliations, and month-end closing
Manage multi-currency transactions, revaluation, and foreign exchange adjustments
Prepare monthly management accounts and financial reports
Assist in group account consolidation and intercompany reconciliation (added advantage)
Handle accounting for multiple companies / business units within the group
Ensure compliance with SST, Withholding Tax (WHT), e-Invoice, and other statutory requirements
Prepare and submit tax filings, SST returns, and related reports in a timely manner
Liaise with auditors, tax agents, company secretaries, and relevant authorities
Support year-end audit and tax computation processes
Maintain proper documentation, records, and filing systems
Monitor cash flow, bank balances, and payment schedules
Assist in improving accounting processes, internal controls, and reporting efficiency
Support management with financial analysis, budgeting, and ad hoc reports as required
Benefits
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