To work for a challenging position in a competitive environment to build through efficient performance for long-term career development and growth, To achieve professional excellence in my field and to hold a challenging position in same esteemed organization with scope of learning maximum augmentation
q Pass the General Entries timely & accurately in MediCubes.
q Monthly Debtor/Creditor Reconciliation.
q Monthly Bank Reconciliation.
q Timely submission of Sale Tax invoices to Tax Department for Tax Returns.
q Payroll Handling.
q Timely submission the VASN X-ray Payment to Malaysia
q Timely submission the Bestinet Bio metric Payment to Malaysia
Timely submission the Cyprus Payment to Malaysia
Arrange financial statements on a monthly basis and sometimes on daily basis.
Prepare and put in order all the files and tax reports, essential Hospital incomes at the local, federal and state levels.
Support assessment activities.
Preparing all the records of profit and loss statements, monthly cost and closing accounting records.
Accountable in compiling and in analyzing financial stuffs for better understanding of financial entries that is essential for broad ledger accounts.
Review and Monitor accounting process for comprehensiveness, efficacy and accuracy.
Analyze expenditures and revenues and give suitable suggestions.
Resolve accounting problems by carrying out the essential inquiry and setting up a more well organized auditing system.
Explain accounting policies and billing invoices to vendors, staff and clients.
Determine accounting inconsistencies.
Maintain and develop financial data supports, manual filing system and computer software systems.
Interrelate with external and internal auditors as well in completing audits.
Completing other assigned duties.
Journal entries – entering of daily transactions to manually and on software
Closing of monthly accounting books
Preparation of monthly bank reconciliation report,
Preparation of daily cash position report,
Responsible for petty cash funds,
Preparation of monthly financial reports such as income statement, balance sheet, salary report, cash flow statement and other schedules required.
Finalizing of general ledger accounts,
Reconciliation of general ledger accounts.
Responsible for accounts receivable and accounts payable.
Preparing cheques, invoices, receipts,
All aspects of bookkeeping including sales and purchase ledger input, reconciliations, journals and nominal ledger
Payroll
Receive and file incoming letters, documents.
Supply and manage office equipments, Medicine for flood Activities office and Camp also.
Schedule meeting if any.
Welcome/Receive visitors relating to work.
Meal, water for Employees.
Manage administrative department, maintain a safe and secure work environment.
Develop and maintain good working relationships with all relevant local governmental bureaus, agencies and authorities.
Maintain office efficiency, plan and implement office systems, layouts, and equipment procurement.
Ensure rules and procedures in place regarding working hours, lunch, office closure and communications about security.
Create, control, and monitor all administrative requirements of other departments.
Record, monitor expenses, raise monthly invoices.