Handle full set of accounts and generate relevant reportsPerform day-to-day accounting functions including cash book, petty cash, audit schedule, cash flow,
Overseeing Finance & Accounts operations- Work closely with Director on daily operations, liaise with local auditors and liaise with inter company auditors,
Monitor cash flow collection and payments.- Direct the installation and maintenance of accounting records to show receipts and expenditures.- Monitor and
**Responsibilities**:- Prepare daily bank reconciliation report.- Maintain proper record and organisation of filling system.- Responsible for day-to-day
**Job Highlights**- Good Working Environment- Career Growth- Familiar with basic accounting principles.- Managing account receivables functions includes
We are doing the hiring for our Subsidiary company - One Transfer Remittance Sdn Bhd.- Preparing monthly Bank Reconciliation.- Compiling Weekly Reload Sales
Prepare monthly payments and financial reports for management.- Handle full set of accounts including accounts payable, accounts receivable, fixed assets and
**Career advancement opportunity**:- **5 working days**:- **Based in Kuchai Entrepreneurs Park, KL****Job Scope**:- Assist on closing of monthly management
**Job description**:- Handle accounts for South East Asia (SEA) entities- Including journal posting and data entries on petty cash, staff claim, AR, AP and GL-
Bookkeeping and Monthly Management Reporting Data entry into Accounting System and maintain relevant supporting documents; Maintain full set of accounts.
**Responsibilities**:- Handle full set of accounts and prepare financial and management reports.- Perform day-to-day finance operations like Account
Job Requirements: Possess at least a Diploma in Accountancy or equivalent. At least 3 year working experience in related account field. Knowledge in ubs,
1. Assist in daily operation & activities of Accounting Department 2. Handle reconciliation of bank and payment statement 3. Maintain proper accounting records
Prepare monthly payments and financial reports for management.- Handle full set of accounts including accounts payable, accounts receivable, fixed assets and
**Job Description**:This position is needed as to assist in checking all accounting transactions in daily and checking monthly reporting.**1. **Keep accurate
**Requirement**:- Diploma/Degree in Accounting/ACCA or equivalent.- Minimum 2 years working experience in handling JMB accounts.- Willing to work at The Scott
Prepare monthly payments and financial reports for management.- Handle full set of accounts including accounts payable, accounts receivable, fixed assets and
1. Handle full set of accounts, including timely closing of monthly accounts.2. Responsible to ensure the General Ledger and journal entries are execute
**JOB RESPONSIBILITIES**- Ensure monthly financial results accuracy, prepare and be responsible for quarterly variance reporting and management reporting, as
To handle a FULL SET of Accounts- To be responsible for monthly closing of accounts with relevant supporting schedules in an accurate and timely manner-