Responsible to manage full set of accounting without supervision, including bank reconciliation, cash flow of branch petty cash, close daily account and ensure
**Job Purpose****Key Duties & Responsibilities**1. General Accounting, Budget and Reporting- Prepare journals for month-end and year-end closing.- Prepare
**Responsibility**:- To handle a full set of accounts.- Perform data entry work accurately and in a timely manner.**Requirements**:- Degree in Accounting or
**Responsibilities**:- Handle day to day operation of accounting and finance function- Monitor Corporate Sales Team Aging from time to time- Process all
Job Description:- Plan & execute all payables to Suppliers including preparation of payment vouchers and purchase order for all dept- Plan, monitor and follow
1. Preparation of monthly financial or management reporting which includes income statement, balance sheet, trial balance; general ledger reconciliation, aging
Job Description 1. Preparation of monthly financial or management reporting which includes income statement, balance sheet, trial balance; general ledger
Job Responsibility:- To handle full set of accounts- To perform monthly bank reconciliation, monthly analysis, daily collection.- Verify staff claims and
HR IT Search Sdn Bhd is a government approved Recruitment and Executive Search company specializes on IT professionals and Non IT Professionals and management
Job Description:- Knowledge in full set Accounts together with monthly financial analysis reports.- Good in cash flow control and preparation of bank related
Responsibilities of the job include:- Keep accurate records for all daily transactions- Able to do full set of accounts prudently and independently-
Prepare monthly financial statements, management reports as well as statutory reports and handle in consolidation financial statements. - Handle full set of
We are looking for a skilled Accounts Assistant to perform a variety of accounting, bookkeeping, and financial tasks.Accounts Assistant responsibilities
**Job title**: Accounts Executive**Company Name**: Syarikat Kah Wah Auto Supply Sdn Bhd**Address**: 98, Persiaran Klebang 1, Kawasan Perusahaan IGB, 31200
Finance assistants record and report ticketing accounting situations to the accountant they work with, verify deposits and prepare daily reports and income.
_**(Location: Gunung Rapat, Ipoh)**_**You will be responsible for**:- Prepare and maintain financial documents, including invoices, receipts, and expense
**JOB DESCRIPTION**:- Prepare FULL SET account.- Preparation of bank and sales reconciliation. Monthly filing for AP/AR payment documents. Maintain accurate
Responsible for company daily accounts receivables and payable, processing payments to suppliers and maintaining updated records of invoices and receipts.-
Cash Management 1) To ensure invoices and applicable documents are in order before payment processing including necessary approval per DM1 Authorisation
**Job Descriptions**:- To assist Accounts Executive to handle accounting entry and day-to-day accounting operation activities.- Assist in monthly and yearly