a) To do account coding for all invoices received from suppliers b) Manage the key-in of supplier invoices, accounting journals, vouchers, credit note and
**Location: Miri****Job Requirement**:- **At least 1 year experienced in Accounting**:- **Must be computer literate and familiar with QNE & SQL System**:- To
**Job Number** 23157498**Job Category** Finance & Accounting**Location** Miri Marriott Resort & Spa, Jalan Temenggong Datuk Oyong Lawai, Miri, Sarawak,
Where you fit The Finance Advisor PSC is responsible for the delivery of Finance activities specifically in the area of Upstream Oil and Gas Production Sharing
Handle all financial bookkeeping and daily accounting functions -Assist in Account Payable -Generate aging report in a timely manner -Prepare relevant reports
**Education**:Minimum qualification in Diploma/ Advance Diploma or Bachelor's Degree in Accounting or equivalent qualification.No working experience is
Where you fit The Finance Advisor PSC is responsible for the delivery of Finance activities specifically in the area of Upstream Oil and Gas Production Sharing
Duties & Responsibilities -Manage obligations to suppliers, customers and third-party vendors -Process bank deposits -Reconcile financial statements -Prepare
Job Description:- Perform Account duties and maintaining records.- Analysing all financial activities, ensuring compliance with accounting and legal
Job Overview Oversee the finance, accounts, income tax, treasury and secretarial matters of the organization. Ensure that all subsidiaries follow the correct
To prepare bank reconciliation and petty cash claims To perform day-to-day finance operations like General Ledger, Account Payable and Account Receivables
**Job Number** 24023615**Job Category** Finance & Accounting**Location** Miri Marriott Resort & Spa, Jalan Temenggong Datuk Oyong Lawai, Miri, Sarawak,
Sarawak, MalaysiaJob Family Group:FinanceWorker Type:RegularPosting Start Date:February 19, 2024Business unit:FinanceExperience Level: Experienced
Job Overview Oversee the finance, accounts, income tax, treasury and secretarial matters of the organization. Ensure that all subsidiaries follow the correct
Company ProfileOceaneering is a global provider of engineered services and products, primarily to the offshore energy industry. We develop products and
*To supervise overall accounting and finance function and operations to ensure all accounting transactions are posted correctly prior year end closing. *To
1. Report to the Financial Accountant and responsible for preparation of financial statement, maintaining cash controls supervising include the payroll,
**Responsibility**- To accurately, prepare and maintain accounting documents and records.- Prepare Bank deposits, general ledger postings and statements.-
Oversee and manage full set of accounting, including Accounts Receivable (AR), Accounts- Payable (AP), General Ledger (GL) & Financial Year End Closing (FYE).-
Descriptions In today's world, audit is no longer just about compliance. It is about cutting edge and risk based methodologies and knowing what is happening in