Job Description

Processing of capitalization, transfer, impairment and disposals of assets in compliance with accounting standards and Group policies.

Run monthly depreciation and prepare monthly fixed asset reconciliation reports.

Assist in yearly fixed asset review.

Follow up on project due and responsible for Investment Application documentation globally.

Register and manage leased assets in accordance with IFRS16 including postings of monthly lease vouchers and lease reconciliation.

Responsible for time accounting management and postings globally.

Responsible for system testing whenever there is new M3 division roll out.

Investigate technical issues arised from daily activities and others and follow up the issues until resolved.

Ensure compliance with accounting standards and liaise with auditors, tax agent and other relevant professionals and authorities.

Ensure all work instructions, standard operating procedures are updated. <...

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