**Our Group of companies (the Group) are involved in property investment and property development activities. We are now expanding our business and embarking
**Job Description: -**- Preparation of monthly financial and management reports for submission to Management; ensure preparation of financial statements in
Possess at least a Diploma in Accountancy;- Perform daily accounts operations task, including banking and finance;- Ensure all accounting records are properly
_**Responsibilities**_- Preparation of full set of accounts including monthly management report with analysis report, required schedules, bank reconciliation
Punctually preparation on all company's reports for accounting purpose and submit to the right body on time. - To oversee all aspects of daily accounting
Supervises the financial book-keeping and records of the company- Record financial transactions, client payments, project/office expenses and processing vendor
**Responsibilities**:- Responsible for all aspects of finance, treasury and accounting for the group of companies, including financial analysis, monthly and
**Job Function**: Other(Sales), Sales coordinator/Admin/Receptionist/Secretary- ** Industry**: Finance(Banking), Finance(Other)- ** Job Description**:- ?Job
Key Responsibilities: Handle full set of account; prepare cash flow forecast, budget, and financial and management reports. Responsible for the overall
**Overview**:**Salary**:6,000 MYR ~ 12,000 MYR**Industry**:Other- Responsible of the overall function of Accounts / Finance Department of the company,
Job DescriptionPreparation of monthly Group Consolidated Management Report within the stipulated timeline to Management and Statutory reporting including
**Job Function**: Sales coordinator/Admin/Receptionist/Secretary, Other(Business Administration & Management)- ** Industry**: Finance(Banking), Finance(Other)-
The primary responsibilities are to coordinate, lead, and manage all fundraising activities for the company that align with the company's direction and
**Job Descriptions**1) Process weekly payments and to release to recipient timely by week basis2) Plan and monitor bank balance and its cash flow, including to
**Summary of Client**:Our client Company was established in Year 2006, with its corporate office now based in UOA Business Park. Leading fertilizer company in
Roles and responsibilitiesThis role will handle and support the Cash & Credit Management operations in our regional APAC Shared Services Centre in
Job Description: 1. Associate in Corporate Mergers & Acquisitions - Candidates should have 1 to 5 years of post-qualification experience handling matters
Job Description: -Good remuneration, candidates with both retail and commercial banking experience will have advantage. -Candidates responsible to liaise with
Job description1. Dealing with company secretary regarding documentation2. Dealing with bank to set up banking facilities4. Dealing with related parties and
**Company Overview**The company is a professional firm that provides corporate secretarial services.**Responsibilities**:- Assist clients in incorporating a