1. 1. To receive the materials ordered by the purchase department (in case of Decentralised system) and supplied by the vendors in a proper maintains as per
This is an internship opportunity in Finance/Accounting based in Nilai. As part of the internship program, the intern will support the Finance/Accounting
Requirements- Have a Diploma in Accounting- Have knowledge of accounting procedures and principles- Ethical behaviour when dealing with financial information-
Office clerks are responsible for performing clerical and administrative duties in an office setting and support of business operations within a department.
Job Responsibility - Administration:- Full time executives are in charge of the company accounting day to day, and various administrative related duties and
**Accountant**This is a key position in the Y & O PACKAGING SDN BHD to ensure General Ledger (GL) function is up to high standards.**Responsibilities**:-
Plan, organize, coordinate and direct day to day administrative functions.- Coordinate and/or make purchases and payments, according to Company's procedures
**Job Description: Accountant and Team Manager**- Assist in performing tax accounting tasks in accordance with Australian regulations.- Collaborate closely
**Main Role **:Managing Account Finance & IT team with subordinates and participate to the top management meeting as representative of finance
To assist day-to-day task in operation department. - To assist Area Manager/ Engineer/ Operation Executive at site area whenever required. - To perform any
Responsibilities:- Shadowing members of the Accounting department as they perform their duties.- Assisting with research, filing, data entry, and recording and
Responsibilities:- Shadowing members of the Accounting department as they perform their duties.- Assisting with research, filing, data entry, and recording and
Responsible in preparation of monthly financial statements according to requirement of management.- Ensure product costs are calculated accurately in line with
Oversee daily transactions, including accounts payable/receivable, general ledger and bank reconciliations Participate in regular tax audits and payroll
**Responsibilities**:- Manage a full set of accounts following accounting principles.- Reconciling account balances and general ledger entries with bank
Posts customer payments by recording cash and cheque transactions.- Posts revenues by verifying and entering transactions and local deposits.- Updates
Creating financial statements for clients as well as upper managementPreparing monthly, quarterly and yearly financial reportsAssisting Financial Managers with
**Responsibilities**:1. Manage a full set of accounts following accounting principles.2. Reconciling account balances/general ledger entries with bank
**Responsibilities**:- Responsible to carry out research, teaching and administration within the school/department scope.- To teach in the areas allocated by
**Responsibilities**:**1. Financial Accounting**:- Reconcile Balance Sheets and P&Ls on month-end cycles.- Ensures all outstanding items are resolved within