Nor Razilah عزيز, Accounts Executive II

Nor Razilah عزيز

Accounts Executive II

NTT MSC Sdn Bhd

البلد
ماليزيا
التعليم
بكالوريوس, Accountancy
الخبرات
13 years, 9 أشهر

مشاركة سيرتي الذاتية

حظر المستخدم


الخبرة العملية

مجموع سنوات الخبرة :13 years, 9 أشهر

Accounts Executive II في NTT MSC Sdn Bhd
  • ماليزيا
  • أشغل هذه الوظيفة منذ أغسطس 2013

Perform the day to day processing of accounts payable transactions to ensure that accounts are maintained in an effective way, up to date and accurate manner.

Main Activities:
• Receive and verify invoices and internal requisitions form (IOR) for goods and services
• Verify that documents comply with internal policies and procedures
• Matching invoices with IOR and delivery note
• Prepare batches of invoices for key in to the system - ORACLE - People Soft System
• Maintain a filing system for all the completed documents
• Set the specific date to perform payments to vendors via online banking services, knock off invoices in the system
• Extract aging from the system to excel file, process payment batch by batch, record transaction in the excel sheet for cash flow purposes
• Well maintain of creditors aging
• Manage the weekly cheque run
• Record all cheques, prepare vendor and manual cheques for despatch
• List all vendor cheques in the excel sheet
• Maintain listing of accounts payable
• Maintain the general ledger, key in journal entries.
• Maintain updated vendor files - after matching file, delivery order file, IOR file, payment voucher file, journal file, receipts file and statement file.
• Manage closing of accounts payable transaction
• Made refund to customer
• Update journal entries for bank charges and any entries which is not using AP module

Audit Associates في Y.T.Yee & Co
  • ماليزيا
  • أبريل 2012 إلى أبريل 2013

• Independent reviewer of companies accounts to ensure the validity and legality of their financial records.
• Carry out a financial health on client's company. Checking that financial reports and records are accurate and reliable.
• Examining the money going in and out of the company and making sure it is recorded and processed correctly.
• Analyse balance sheet items, profit and loss items.
• Identifying if any accounts are not workings as they should, and advising on changes to be made that is to prepare Audit Journal Adjustments.
• Prepare / obtain audit paperwork in accordance with standards and requirements.
• Audit paperwork such as: a) Prepare / obtain a schedule of all fixed assets, investments, inventories, trade receivables, other receivables, prepayment, cash and bank balance, payables and accruals, taxation, bank loan / banker acceptance / trust receipt.
b) Agreed lead schedule to permanent audit file (PAF), trial balance (TB), draft account (BS)
• Preparing reports, drafting the final accounts to be review by the Independent Auditor before the accounts been submitting.
• Do the stock-take.

External auditors responsible for ensuring that all of the company's financial policies and procedures are effective, accurate and in accordance with audit standards.

Accounts Assistant في Quest BPO Sdn Bhd
  • ماليزيا
  • يونيو 2010 إلى مارس 2012

-Prepare, examine, analyze accounting records, financial statements to assess accuracy, and completeness reporting
-Accounts receivables and accounts payable control
-Assign entries to proper accounts based on accounting standards and company policies
-Knowledge in using Accounting Software - QuickBooks and Auto-Count
-Prepare Bank Reconciliation, assure for smooth operation
-Control the cash flow, update collection report to the superior and payment made to the vendors
-Update/ Prepare Service Tax Schedule
-Update/ Prepare Fixed asset register
-Well maintain of accrual and prepayment basis to the accounts
-Prepare Audit Schedule
-Perform Monthly End Closing
-Handle Daily Accounts Operation
-Maintain a filing system for all financial documents
-Ensure the confidentiality and security of all financial and employee file

الخلفية التعليمية

بكالوريوس, Accountancy
  • في Orange International College Kuala Lumpur
  • ديسمبر 2015

Association of Chartered Certified Accountants (ACCA) Year of Study: 2010 - Now Field Of Study: Accountancy Institute/University: Orange International College Kuala Lumpur / Kasturi - ACCA part 2 - F1 Accountant in Business (Exempted) - F2 Management Accounting (Exempted) - F3 Financial Accounting (Exempted) - F4 Corporate and Business Law (Pursuing) - F5 Performance Management (Pursuing) - F6 MYS Taxation (Pass) - F7 Financial Reporting (Pursuing) - F8 Audit & Assurance (Pursuing) - F9 Financial Management (Pursuing) Graduation Year: 2008 Passed Finalist of Certified Accounting Technician (CAT-ACCA) -Completed-

دبلوم, Accountancy
  • في College Poly-Tech Mata, Kuala Lumpur
  • أغسطس 2008

CAT-ACCA - T1 Recording Financial Transactions (Pass) - T2 Information for Management (Pass) - T3 Maintaining Financial Records (Pass) - T4 Accounting For Costs (Pass) - T5 Managing People and System (Pass) - T6 Drafting Financial Statements (Pass) - T7 Planning, Control & Performance Management (Pass) - T9 Preparing Taxation Computations (Pass) - T10 Managing Finance (Pass)

الثانوية العامة أو ما يعادلها, Science
  • في Maktab Rendah Sains Mara, Kuantan, Pahang, Malaysia
  • يناير 2005

SPM (2004-2005) Major: Pure Science School: Maktab Rendah Sains Mara, Kuantan, Pahang, Malaysia Result / Grade: SPM: 3A2 1B3 3B4 1C5 2C6

الثانوية العامة أو ما يعادلها,
  • في Methodist Girls School Kuala Lumpur
  • يناير 2003

PMR (2001 - 2003) School: Methodist Girls School Kuala Lumpur Result: 6A 2B

الثانوية العامة أو ما يعادلها, Nutrition Club Kolej Poly
  • في Primary Methodist Girls School
  • يناير 2000

UPSR (2000) School: Primary Methodist Girls School (1), Brickfields, Kuala Lumpur Result: 3A 2B Co-Curriculum Activities * Nutrition Club Kolej Poly- Tech Mara, (Committee Members) * ACCA Camping by ACCA Club KPTM- Participants * Fotsal Tournament KPTM - 3rd Place

Specialties & Skills

Adjustments
Accounts Payable
Auditing
Journal Entries
General Ledger Reconciliation
ACCOUNTING
ACCOUNTING/BOOKKEEPING
ACCOUNTS PAYABLE
ACCOUNTS RECEIVABLES
ACCOUNTS TO
ADJUSTMENTS
BALANCE SHEET
BANK RECONCILIATION
Accounting Procedure

اللغات

الانجليزية
متمرّس
المالية
متمرّس

التدريب و الشهادات

Certificate of Attendance (الشهادة)
تاريخ الدورة:
October 2013
صالحة لغاية:
October 2013