Responsibilities:1) Perform day to day general administrative duties.3) Ensure proper records and filling.4) Preparation of payment vouchers and checking
Looking for Fresh Graduates!- To do full set of accounts.- Summarizes current financial status by collecting information, preparing balance sheet, profit, and
**Key Responsibilities**:- **Audit Planning and Execution**:- Develop and execute risk-based audit plans in collaboration with key stakeholders.- Conduct
**Job Responsibility**- Group consolidation & Reporting- Responsible for the preparation of monthly consolidation of the Group's financial and management
**Responsibilities**:- To perform daily transaction and month end closing for Accounts Payable & Accounts Receivable Section- To assist executive in
**Responsibilities**:- Handle full set of monthly accounts, including raise journals, review journals, update fixed assets register within the deadline, review
**Company Description** Do you want beneficial technologies being shaped by your ideas? Whether in the area of mobility solutions, consumer goods, industrial
Min requirements:- 1. Diploma/Degree in Accounting/Commerce2. 2-3 years experience in audit and tax preferred3. Min 3 years working experience in accounting
**PRIMARY ROLE AND RESPONSIBILITIES**:- To handle daily accounting data entries and any other accounting related matters in a timely manner and adhere to
**1.** **Overview**:We are looking for a highly skilled and qualified Corporate Finance Manager or Accountant to lead our financial operations and ensure
**Summary**:We are looking for an experienced Group Financial Controller, or Comptroller, to undertake all aspects of financial management, including corporate
**Job Summary**Assist Head of Finance in managing the overall finance and accounting, tax, procurement functions and to support the achievement of the
Responsible to assist and manage daily general accounting & administration tasks.- Handle daily accounts recording, monthly payment, bank reconciliation, data
**Key Responsibilities**:- **Financial Planning and Budgeting**:- Develop and oversee the annual budgeting process in collaboration with department heads.-
**Job Descriptions**:- Handle day to day operations of accounting record & filling.- Prepare balance sheets reconciliations- Track bank deposits and payments.-
**Location**:Plaza 33, Petaling Jaya (Hybrid mode)**Responsibilities**:- Liaise with Corporate, Finance & Control functions in order to help in the follow up
**Location **:Seksyen 13, Petaling Jaya**Working Hours **:Monday - Friday, 8.30am - 5.30pm (Hybrid)**Job Descriptions**:- Liaise with Corporate, Finance &
**Summary**:We are looking for a Treasury Manager to monitor efficient day-to-day treasury operations and be responsible for cash management, cash forecasting,
*- Highly involve in budget/forecast preparation and monitoring the actual performance and analyze the variance over budget.- Plans, studies and collects data
Understand Clients' business, processes and accounts;- Accurate and timely data entry of accounting transactions, banking transactions, bank reconciliations