Lim Choon Hoe

Accountant at Inta Bina Group Berhad
  • Claim this Profile
Contact Information
us****@****om
(386) 825-5501
Location
Puchong, Selangor, Malaysia, MY

Topline Score

Topline score feature will be out soon.

Bio

Generated by
Topline AI

You need to have a working account to view this content.
You need to have a working account to view this content.

Experience

    • Malaysia
    • Construction
    • 1 - 100 Employee
    • Accountant
      • Apr 2021 - Present

      To lead the Accounting Team to handle full sets of accounts and daily operations in Property Development. Review and analyse monthly management accounts. Review the competitor’s financial information and tabulate a comparison table between my company and competitor. Motivate, supervise and discuss issues to enable deadlines are met by the Accounting Team. Manage cashflow of the Group and prioritise expenditure. Review annual audited reports and tax computation. To liaise with internal and external auditor and tax agent. To review and advise on the tax position of the Group. To advise on the transfer pricing documentation. To discuss and negotiate on the new bank facility provided by the banker. To prepare forecasted cashflow and budget for bank to review. To work out the price list for property and calculate Gross Development Value (GDV). To liaise with the lawyer on the transfer of land title. To set up Synthesis Accounting System and migrate data from MHW Accounting System to Synthesis Accounting System. To arrange forwarding agent to deliver the imported goods to client office. To prepare Standard Operating Procedure (SOP) for Accounts Receivable and Information Technology. Show less

    • Accountant
      • Jun 2020 - Apr 2021

      To lead the Accounting Team to handle full sets of accounts for the Company and Joint Management Body (JMB) To forecast, prepare Annual Budget and propose maintenance charges and sinking fund rate for each Committee Meeting of JMB To prepare the Consolidated Accounts for every Quarter and Annual Closing To attend the Board Meeting and present the Quarter and Annual Financial Result To liaise with internal and external auditor and tax agent To discuss the implication of the latest Malaysian Financial Reporting Standards on the existing report with the auditor To review and advise on the tax position of the Group To advise on the transfer pricing documentation To discuss and negotiate on the new bank facility provided by the banker To liaise with the lawyer on the perfection of transfer and perfection of charge of the title of property To pursue legal action against the long outstanding debtors for the recovery of the debt Manage the cash flow of the Group Show less

    • Accountant
      • Mar 2019 - May 2020

      To lead the Accounting Team to handle full sets of accounts for the Company and Joint Management Body (JMB) To forecast, prepare Annual Budget and propose maintenance charges and sinking fund rate for each Annual General Meeting of JMB Consult and seek advice from the Lawyer and Managing Agent pertaining to the issues related to Strata Management Act 2013 including different maintenance charges and sinking fund rate for each type of the properties Identify potential issues and queries that raised by the owners and discuss the solution before attend the AGM To present the audited report and discuss significant accounting matters during the Meeting Monitor the deadlines of Accounts submission and meeting with the Auditors for audit queries including significant threat on the internal control system Manage and discuss cashflow of the Group with the superior Minimise intercompany balances to reduce transfer pricing issues Meeting with IRB officer on the tax audit matters and follow up the refund of tax overpaid with IRB officers To liaise with the tax agent on yearly tax submission To advise the accounts related matter in accorded with Malaysian Private Entities Reporting Standard and Strata Management Act 2013 Show less

    • Real Estate
    • 200 - 300 Employee
    • Accountant
      • May 2017 - Mar 2019

      To lead the Accounting Team to handle full sets of accounts for Joint Management Body and Management Corporation To forecast and prepare annual budgets for each Annual General Meeting To present audited reports and discuss significant accounting matters during meetings To propose any approach to the committee members to recover outstanding balances from the defaulters by means of legal action or instalment payment basis To work together with the Building Management Team to identify the limited common area for each type of properties owners, arrange quantity surveyors to draft the demarcation plans and apportion the income and expenditure for each limited common area To monitor cash flow and propose to the committee members on any revision of service charges and sinking fund if the accounts are expected to be in deficit To liaise with tax agents on yearly tax submission To liaise with new managing agents on the handover procedures and discuss on the settlement of outstanding invoices To advise on accounts related matters in accordance with Malaysian Private Entities Reporting Standard and Strata Management Act 2013 Show less

    • Malaysia
    • Real Estate
    • 1 - 100 Employee
    • Assistant Accountant
      • Apr 2016 - May 2017

      To lead the Accounting Team to handle full sets of accounts and daily operations in Property Development and Mall Division Review and analyse monthly management accounts Prepare annual budget for new projects with the information provided by the Project and Contract Department Motivate, supervise and discuss issues to enable deadlines are met by the Accounting Team Review monthly and quarterly GST submission Manage cashflow of the Group and prioritise expenditure Minimise intercompany balances to reduce transfer pricing issues Prepare reports on utilisation of tax credit on profitable subsidiaries Manage tax audit from IRB Quarterly Form 7F submission Review annual audited reports and tax computation Show less

    • Malaysia
    • Information Technology & Services
    • 300 - 400 Employee
    • Senior Accounts Executive
      • Mar 2014 - Apr 2016

      Preparation of monthly consolidated management accounts which includes local and overseas accounts. Preparation and review of annual audited reports and tax computation in Malaysia and Papua New Guinea. Liaise with tax agents for tax computation and GST issues in Malaysia and Papua New Guinea. Liaise and meet up with bankers for loan applications for the company and purchasers of properties in Papua New Guinea. Liaise with auditors for local and overseas accounts. Meeting with project directors for operation issues, expected costs to be incurred and revenue, cashflow projections required for the projects. Site visit and review documents provided by company staff from Papua New Guinea. Set up of IFCA system including master chart of accounts, project codes and GST codes. Show less

    • Malaysia
    • Real Estate
    • 400 - 500 Employee
    • Accounts Executive
      • Oct 2012 - Feb 2014

      Preparation of monthly management accounts Preparation of annual audited reports and tax computation Annual budget estimation and quarterly costing revision Preparation of payment to creditors and management of accounts receivable Liaise with third parties including internal staff, creditors, bankers, auditors and tax agents Preparation of journal vouchers and daily updating of accounting system Preparation of cashflow projections for future revenue and costs estimation for new projects Bank reconciliation Supervision of staff Show less

  • Lion Group - Property Division
    • Kuala Lumpur, Malaysia
    • Accounts Executive
      • Aug 2010 - Oct 2012

      Preparation of cheques, bank guarantees, payment vouchers, journal vouchers, bank reconciliation, accounting data entries and management accounts. Preparation of cheques, bank guarantees, payment vouchers, journal vouchers, bank reconciliation, accounting data entries and management accounts.

  • Ong Boon Bah & Co
    • Kuala Lumpur, Malaysia
    • Audit Trainee
      • Feb 2009 - May 2009

      During my 3 months' practical training, I was involved in audit assignments for private limited and public listed companies including verification and preliminary computation of income tax. During my 3 months' practical training, I was involved in audit assignments for private limited and public listed companies including verification and preliminary computation of income tax.

Education

  • TAR College
    Diploma In Business Studies, Advanced Diploma In Commerce - Financial Accounting, ACCA, Accounting
    2005 - 2010
  • MIA
    MIA, Accounting

Community

You need to have a working account to view this content. Click here to join now