SENIOR EXECUTIVE - FINANCE & ADMINISTRATION

Credit Bureau Malaysia

Malaysia

On-site

MYR 56,000 - 100,000

Full time

6 hours ago
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Job summary

Credit Bureau Malaysia seeks a Senior Executive to oversee the full spectrum of financial accounting and administration. You will drive month-end close, AR/AP, and intercompany reconciliations while preparing reporting packs and P&L commentary for management.

The role requires a degree in accounting (ACCA/CPA preferred) with at least two years in SME finance. Strong Excel, communication, and problem-solving abilities are essential in a fast-paced environment.

Qualifications

  • Bachelor degree in Accountancy or equivalent (ACCA/CPA preferred).
  • At least 2 years of accounting/finance admin experience in SME.
  • Strong Excel and analytical/presentation skills.
  • Excellent written and verbal communication; capable of meeting tight deadlines.
  • Problem solving in unstructured and complex environments.

Responsibilities

  • Oversee full spectrum of financial accounting and reporting (AR / AP / Interco, month-end close, fixed asset accounting).
  • Handle month-end close activities from journal posting to reporting pack preparation.
  • Perform P&L review with commentary on significant changes; investigate unusual balances.
  • Prepare balance sheet reconciliations and intercompany reconciliations.
  • Prepare cashflow forecasts for cash management; support statutory accounts, audits, and tax filings.
  • Business partnering with operation managers.

Skills

Problem solving
Team player
Analytical skills
Communication skills
Proactive mindset

Education

Bachelor degree in Accountancy
ACCA or CPA

Tools

Excel

Job description

SENIOR EXECUTIVE - FINANCE & ADMINISTRATION

7 September 2026

Trading & Manufacturing

Description

In charge of the full spectrum of financial accounting and reporting function (including AR / AP / Interco, Month-end close, fixed asset accounting).

Handle month-end close activities independently from journal posting to preparing reporting pack.

Perform P&L review and analysis. Provide commentary for accounts that have significant changes and investigate account with unusual balances.

Prepare monthly schedule reconciliation for Balance Sheet accounts.

Intercompany reconciliation of transactions and balances.

Prepare cashflow forecast for cash management.

Prepare statutory accounts and manage internal and external audit and annual tax filing

Business partnering with operation managers.

Requirements

Candidate must possess at least a Bachelor Degree in Accountancy, ACCA, CPA or equivalent qualification.

At least 2 years of working experience in accounting, or finance administration from SME company.

A problem solver, who can work in an unstructured and complex environment.

Team player, possess positive working attitude, pro-active and independent contributor.

Proficient in Excel and other analytical/presentation skills.

Possess strong analytical skills.

Excellent written and verbal communication skills

Able to work in a fast-paced environment and manage tight deadlines.

Familiar with Account Payable ie PO & supplier invoice processing, and payment coordination is added advantage.

Good understanding of finance functions, ie. Accounts Payable (AP), General Ledger (GL), and basic accounting principles.

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