About RAHIZA HASSAN

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Education

Experience

  • 2012 - 2018
    FAR FRONTIER ENERGY SERVICES SDN BHD

    FINANCE EXECUTIVE

    1. Involve in preparing full set of account (i.e journal postings, GL maintenance, report preparation, reconciliations, balance sheet, profit and loss and assist in tax computation/ submission, etc.)
    2. Duties encompassed in processing vendor’s invoices and ensuring timely recording, collection and accurate payments to vendors.
    3. Responsible for preparing the monthly report, processing of all general accounting and reporting, fixed assets, statutory accounting, data extraction from the ledger, cash book reconciliation, monthly reconciliation for major vendors and direct tax transactions while adhering to policies and procedures.
    4. Involve in preparing the WHT payment for any payment paid to company non-resident in Malaysia.
    5. Involve in process of applying the licensing from PETRONAS/SHELL; analyze the requirement/special condition for the application, gathering all the documents, input all the information into the systems and maintaining and monitoring the license period.
    6. Liaise with external parties such as bankers on payment related matters, tax agents, suppliers, and customers.
    7. Liaise with Auditor for year-end audit and other related matters.
    8. Involve in handling vendors and business queries relating to payables, receivables and resolving.
    9. Involve with the registration of GST for the company and responsible for preparing GST submission report to Custom.
    10. Involve with the process of applying Lembaga Pembangunan Industri Pembinaan Malaysia (CIDB) via the system.
    11. Maintain proper filing of documents and processing employees’ claims.
    12. Involve with preparing and submitting EPF, SOCSO, Tax Income and Zakat for the company.
    13. Carry out other related duties as required from time to time.

  • 2010 - 2012
    IBM MALAYSIA SDN BHD

    TREASURY ACCOUNTANT

    1. Duties encompassed project closing, project and financial reporting as well as analysis of cash transactions
    2. Assist in periodic financial closing & documents and reporting for Treasury
    3. Responsible for cash management, bank account, forex and loan treasury operation
    4. Treasury team, Asian Pacific Accounting Centre (APAC)
    5. Perform the bank reconciliation, booking and analyze the treasury transaction such as bank account, forex and loan operation for Country India Mainline.
    6. Perform the bank reconciliation, booking and analyze the treasury transaction such as bank account,forex & loan operation for Countries Daksh India and Sri Lanka.
    7. Involve in Cash Analysis Efficiency Project as a project leader. Help to ease and reduce the workload of the treasury accountant to perform the cash analysis.

  • 2009 - 2009
    IMRAN Chartered Accountant (AF 1481)

    PRACTICAL TRAINEE

    Involved in performing audit, account and taxation works (experienced in auditing of 14 companies from various industries).

Expertise

COMPUTER SKILL - UBS ACCOUNTING SOFTWARE
COMPUTER SKILL - MYOB ACCOUNTING SOFTWARE
COMPUTER SKILL - SQL ACCOUNTING SOFTWARE
COMPUTER SKILL - WINDOWS AND MICROSOFT OFFICE
LANGUAGE SKILL - ENGLISH (WRITTEN & SPOKEN)

Honors & awards