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/
Data entry clerks update, maintain and retrieve information held on computer systems. They prepare source data for computer entry by compiling and sorting
**Responsibilities**: - Prepare daily bank reconciliation report. - Maintain proper record and organisation of filling system. - Responsible for day-to-day
**JOB DESCRIPTION** Daily and Monthly Responsibilities - Handling full set accounts - Establishing and reconciling all companies operating bank accounts. -
**Responsibilities**: - Prepare daily bank reconciliation report. - Maintain proper record and organisation of filling system. - Responsible for day-to-day
**Responsibilities**: - Prepare daily bank reconciliation report. - Maintain proper record and organisation of filling system. - Responsible for day-to-day
**Responsibilities**: - Job description - Are you looking for career prospect & opportunity to excel in your future!? Are you excited and interested in our
**Responsibilities**: - Maintain proper record and organisation of filling system - Responsible for day-to-day finance and accounts administration tasks -
**Responsibilities**: - Maintain proper record and organisation of filling system - Responsible for day-to-day finance and accounts administration tasks -
**Responsibilities**: - Maintain proper record and organisation of filling system - Responsible for day-to-day finance and accounts administration tasks -
Issue customer account statements periodically or whenever necessary. - Receive payments through various methods (cash, online payments etc.) and check for
**Responsibilities**: - Maintain proper record and organisation of filling system - Responsible for day-to-day finance and accounts administration tasks -
**Responsibilities**: - Maintain proper record and organisation of filling system - Responsible for day-to-day finance and accounts administration tasks -
Provide assistance with compiles bills & invoices ensure proper documentations and filling systems - Ensure accounting data entry records accurate. - Maintains
1. Collect and sort invoices and checks. 2. Mail checks to both other businesses and employees. 3. Keep a thorough record of business transactions and enter
Job summary Responsible for daily bank reconciliation report Maintain proper record and organization of filing system Perform day-to-day finance and accounts
**Responsibilities**: - Handle clients accounts, housekeeping and full set of account. - Prepare daily bank reconciliation report. - Maintain proper record and
JOB REQUIREMENTS: - Required language(s) : Bahasa Malaysia, English. - Fresh graduates are welcome to apply, working experience in the related field will be an
Key responsibilities: - Management of petty cash transactions. - Controlling credit and ensuring debtors pay on time. - Reconciliation of direct debits and
**Responsibilities**: - Responsible for handling full set of account (guidance will be provided) - To perform general transaction for project - Familiar with