**About our client**:Our client is a world-renowned fintech company with strong presence in APAC and the rest of the world.**Responsibilities**:- Working with
Key responsibilities and tasks Treasury and cash management Posts incoming and outgoing cash for the US markets onto SAP/Netsuite Maintains rolling cash flow
To assist in liaising with external parties such as company secretary, share registrar, insurance agent, auditor and other related government agencies such as
**Job scope**:- Inventory maintenance- Fixed Asset support & maintenance- Posting of JV's - Ensure accurate and timely posting of financial transactions-
**Job Summary****Responsibilities and Duties**- Responsible for month end closing (AR, AP & GL); assist in the preparation of Management Reports on a monthly
**Responsibilities**:- Support the Head of Finance and Finance Manager in coordinating the financial closing process to ensure accuracy and adherence to
The Manager, Treasury Solutions's role is to serve as an intermediary in helping to formulate and execute hedging strategies, and provide investment solutions
Job Description: Manage and prepare accurate group's consolidated financial reporting for timely submission. Responsible for cashflow & treasury reporting,
A recruiter is seeking a Liquidity & Market Risk Management Head to work in a high performance organisation. They offer our services through all our branches
**Jobs Descriptions**:- Preparation of full set of accounts including monthly management report, budget, required schedules and reconciliation (Bank, AR & AP)-
Job Description Participate and assist the Group Finance Senior Manager in the following areas in respect of future / present / exploratory ad-hoc projects of
**Jobs Descriptions**:- Preparation of full set of accounts including monthly management report, budget, required schedules and reconciliation (Bank, AR & AP)-
Responsibilities:- Responsible in handling full set of accounts, cash flow projection and management reporting.- Responsible for Accounts Receivable, Accounts
Perform full set of Account. Handle or Assist in full spectrum of finance and accounting process including monthly closing , yearly audit and budgeting, tax
Perform full set of Account. Handle or Assist in full spectrum of finance and accounting process including monthly closing , yearly audit and budgeting, tax
As an Account Executive will comprise of assisting the finance manager in day-to-day activities of finance functions (i.e. cash flow, banking, and treasury
Job Description: Manage and prepare accurate group's consolidated financial reporting for timely submission. Responsible for cashflow & treasury reporting,
-- ? - Responsible for accounts payable including prepare payment voucher, check supplier invoices and staff claim and update bank confirmation list. -
Job Descriptions:- Responsible for preparation of monthly management reports and provide financial analysis to management.- Handle full set of accounts and all
**Job details**:Posted 02 November 2023SalaryRM5000 - RM7200 per monthLocationSubang JayaJob type PermanentDisciplineFinance &