Job Details This role is responsible for specimen collections and clerical duties. Clerical duties may include data entry, payment processing and bookkeeping,
1. CONVEYANCING LAYWER (JB Branch) 2. CONVEYANCING CLERK (JB Branch) 3. ACCOUNTS/ADMIN CLERK (JB Branch) Reference:20240250 Date Published:29 January 2024 Job
Responsibilities: Prepare daily bank reconciliation report. Maintain proper record and organisation of filling system. Responsible for day-to-day finance and
DUTIES AND RESPONSIBILITIES II. Follow up and update customers re payment status online via all our payment gateways III. Check Season Parker payments online
List-ID: 97388651Today 19:45 **Job Description**: - Performing data entry - Issue invoices, and payment vouchers - Develop and carry out efficient
We are a leading ICT (Information and Communications Technology) company with full capabilities in pursuing Industrial Revolution 4.0 (IR4.0) challenges to
**-Account Payable**: - Perform monthly reconciliation of accounts payable against supplier statement of account. - Liaise with suppliers and outlet manager on
Assisting Building Manager or Building Executive. - Admin will also be assigned to a specific job function of the account - In the absence of the manager/
Cigna is a global health service company dedicated to helping people improve their health, well-being and sense of security. Cigna has almost 40,000 employees
Summary Administration - Ensures all documents related to the section properly filed for reference. - Ensures all documents related to the section including
**Roles Admin cum Account Assistant** **Responsibilities**: - Perform day to day general administrative tasks like filing, keep records and assuring accurate
**Roles Admin cum Account Assistant** **Responsibilities**: - Perform day to day general administrative tasks like filing, keep records and assuring accurate
**Position: Insurance Claims Clerk.**: - **Salary: RM 1300-1800.**: - **Job location: Kuala Lumpur city center (Jalan Raja Laut).** Chrisjac is currently
Core Responsibilities - Establish, maintain and reconcile full set of accounts - Prepare monthly P&L, income statements and balance sheets - Perform cash flow
Core Responsibilities - Establish, maintain and reconcile full set of accounts - Prepare monthly P&L, income statements and balance sheets - Perform cash flow
'¢ To verify all cashiers report (including General Cashier report) from the previous day. '¢ To audit the daily revenue and non-revenue reports (including
Policy endorsement - Payment & receipting - CBC Monitoring - Assist marketing on enquiries **Requirements**: - Diploma holder (fresh graduate) or SPM holder
DUTIES AND RESPONSIBILITIES II. Follow up and update customers re payment status online via all our payment gateways III. Check Season Parker payments online
1. Day to day administration of the office. 2. Inform all staff of Company's policies, procedures and directives. To send out circulars to KL office and or
DUTIES AND RESPONSIBILITIES II. Follow up and update customers re payment status online via all our payment gateways III. Check Season Parker payments online