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Tax / Accounts assistants

KFF PLT

Malaysia

On-site

MYR 24,000 - 36,000

Full time

Today
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Job summary

A financial services firm in Malaysia is seeking a Tax Assistant to support tax compliance and assist in preparing tax filings. In this role, you will work closely with senior staff, manage routine tax compliance requirements, and liaise with clients for necessary information. Besides, you will receive training on 'Superior Taxcomp' software to aid in your responsibilities. This position requires attention to detail and good communication skills.

Qualifications

  • Assisting in managing tax compliance and preparing tax filings.
  • Training to use 'Superior Taxcomp' software.
  • Liaising with clients for necessary information and documents.

Responsibilities

  • Assist in preparing tax computation and filing for clients.
  • Monitor routine tax compliance requirements.
  • Handle tax-related matters and audits.

Tools

Superior Taxcomp
SQL accounting software
Job description
<3>Tax Assistants

In this role, you will assist in managing tax compliance and preparing tax filings.

Job Responsibilities
  • To assist the senior in preparing tax computation and filing of tax returns for individual and corporate clients.
  • Staff are trained to use 'Superior Taxcomp' software to do their work.
  • Monitoring and administer routine tax compliance requirement (e.g. tax estimates (CP204), revision of tax (CP204A) and provisional tax computation.
  • Liaise with clients' for all information and documents while preparing the tax computation and during the audit.
  • Assist in handling tax related matters, eg. Desk audit, PCB audit, tax audit, liaison with Inland Revenue Board (IRB) etc.
  • Maintain proper filing of tax documents and records in a systematic and timely manner.
Accounts assistants
Job Responsibilities
  • Financial Record keeping: Encode and update financial transactions in ledgers and databases using SQL accounting software.
  • Invoice & Payment Processing: Handle accounts payable/receivable, issue E-invoices, and track payments.
  • Bank Reconciliation: Match bank statements with internal records to ensure accuracy.
  • Support Reporting: Assist in preparing financial statements and audit materials.
  • Administrative Tasks: Filing, emailing, printing, and liaising with vendors or clients.
  • Compliance Support: Help with regulatory submissions and ensure documentation meets regulatory standards.
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