Prepare Costing ReportSupport and manage internal and external audit requirement, ensuring of audit findings and comments.Secretary mattersFinancing - Sales
1.DIPLOMA OR ABOVE IN RELATED DISCIPLINE.2. ABLE TO MAINTAIN FULL SET OF ACCOUNTS3. 1 YEAR EXPERIENCE OR ABOVE4. FRESH GRADUATE ALSO WELCOME5. ABLE TO MAINTAIN
Able to prepare full set of accounts and understood applicable accounting principles in accordance with Malaysia Private Entities Reporting Standards (MPERS)-
1. Manage full sets of financial accounts independently, including the preparation of Profit & Loss, Balance Sheet, Cash Flow Statement, and Annual Compilation
At VentureHaven, we believe every business has the potential to be a great force for good, and a sustainable change-maker. That's why we support businesses to
To follow up with collection and update into the accounting system.- To prepare payment vouchers for payment which are due and update into the accounting
FULL SET OF ACCOUNT -WORK INDEPENDENTLY -5 DAY WORKINGS -9AM TO 5.50PMOur company provides tax advisory & planning services, full set of account and business
Working Hours:- Monday to Friday, 8:30am - 6:00pm**Responsibilities**:- To plan, execute sales strategies to meet business objective.- To develop new business
Position: Accounts Executive - Day to day financial operation - Liaise with bankers and government authorities on related matters - Intercompany -
**Account Executive Responsibilities**:- Full set of accounting knowledge includes General Ledger, Account Payable, Account Receivable, Bank, Inventory and
Prepare monthly Management Accounts timely and accurately for Assistant Finance Manager to review.- Prepare Weekly Revenue report to Regional Managing
1. Checking daily sales collection 2. Prepare payment to vendor or staff claim 3. Reconcile bank account and cash in hand account 4. Prepare cash flow report
You will be responsible for directing and ensuring the provision of timely and efficient book-keeping and accounting-related services to
To assist in preparing any miscellaneous one-time payment as per request.- Prepare and process vouchers and journals in compliance with company policies and
**Description**- Handle full set of accounts- Familiar in AR & AP procedure- Prepare account reconciliations, journal entries and bank reconciliations-
In charge for the preparation of full set account- Handle daily accounting functions and closing activities- Prepare and process month end journals- Report to
Job ResponsibilityAble to work under pressureBuilding strategies and selling tools to support increased selling effectiveness. Introducing product and service
**JOB DECRIPTIONS**:- Able to handle full sets of accounts for construction- Responsible monthly accounts closing and reporting including Bank Reconciliation,
Responsibilities:1. Responsible for newly set-up subsidiary's full set of accounts with mÃnimal supervision.2. Prepare accurate and timely financial reports
JOB DESCRIPTIONS2.1 Report directly to HOD Finance2.2 Filing of finance documentations.2.3 Typing of correspondences.2.4 Accounts data entry including