**RESPONSIBILITIES**- Perform monthly bank reconciliation, to investigate and resolve any reconciliation differences.- Ensure petty cash transactions are
**Responsibility**:- Liaise with suppliers, vendors, government offices, and agencies pertaining to GLC tenders, APEC, customs, MITI, and SIRIM-related
**Responsibilities**:- Assist in monthly accounts closing, including preparation of financial statements, supporting schedules, etc.- Ensure all financial data
Job Responsibility To issue journal entries To file documents To issue invoices, DN/CN To prepare bank reconciliation To assist in audit/tax matters Any ad hoc
**Responsibilities**:- To issue journal entries- To support holding company's daily operations- To file documents- To issue invoices, DN/CN- To prepare bank
**Responsibilities**:- Accounting transaction updates into financial system- Assist in preparation of month end and year-end financial reports to management &
Assist for the administrating of account & costing department.- Responsible for the proper maintenance of the accounting & costing records and timely
Job Responsibility Handle daily accounting data entry and book keeping Proper handling and coding of invoices Assist to prepare monthly management account
ADMINISTRATIVE ASSISTANT We are looking for an Administrative Officer to join our team and support our daily office procedures. Location Starcage Pet Products
**Date**:8 Feb 2024**Location**: Sepang, 10, MY, 64000**Company**:Malaysia Airports Holdings Berhad**POSITION GENERAL SUMMARY**- To process collection received
Responsible for net banking payment;- Familiarize the company accounting software to perform up to date accounting reconciliation;- To prepare weekly Bank
**Qualifications & Requirements**:- Applicant must be Malaysian- Minimum Diploma in Finance/Accounting or any discipline- Good command in English, Bahasa
**JOB DESCRIPTIONS**- Monitor and verify sales collections received by cheques, cash, or bank transfers.- Maintain the Accounts Receivable Ledger and update
**Job Responsibility**:- Manage and reconcile accounts payable, receivable and bank reconciliation on monthly basis.- Manage fixed assets with the Cloud
**RESPONSIBILITIES**:- To issue journal entries- To file documents- To issue invoices, DN/CN- To prepare bank reconciliation- To assist in audit/tax matters-
**Responsibilities**:- Accounting transaction updates into financial system- Assist in preparation of month end and year-end financial reports to management &
**Responsibilities**:- Accounting transaction updates into financial system- Assist in preparation of month end and year-end financial reports to management &
**Job Descriptions**- Collecting payment & update follow up status into System.- Maintaining billing system, account receivable record and files.- Responsible
List-ID: 97842125Today 21:24**Job Description**:- Responsibilities:1. Process & liaise with banks for all credit card transaction related matters.2. Monitor
**Job description****REQUIREMENT**:- Minimum education level SPM- Computer literate in Microsoft Office & Excel- Experience in Human Resourse/ Accounting/ Art