To support the department head on daily finance, account, treasury, taxation, Company Secretary, audit and work tasks and to ensure effective completion on
1. To perform daily accounting operations, and assist in handling a full set of accounts and Bank Reconciliation.2. To assist the company in setting up a
Client is a Global Shared Service Centre.Overview:Responsible for the management of Record to Report process and General Ledger (GL)
Prepare full sets of accounts according the accounting period and monitoring on account payable and account receivable.- Responsible for daily accounting
AL Maritime is a business unit within GM&T (Global Markets & Technologies). The activity is articulated around four main businesses: Global Helium, Global Rare
**Responsibilities**:- Develop training materials, including manuals, presentations, and online resources, to support client training programs.- Deliver
**JOB DESCRIPTION**1) Maintain records of routine accounting transactions.2) Verified and post transaction to journals, ledgers and other records.3) Banking
Job details Here's how the job details align with your profile . Pay RM 3,500 - RM 4,500 a month Job type Full-time Location Full job description Job
**Join Our Pack: Office Administrator & Accountant Opportunity at The Wolf Trainer**Are you a detail-oriented professional with a flair for numbers and a
**Job Highlights**- Good Career Advancement & Leadership Exposure- Yearly Increment & Performance Bonus- FREE Parking + Birthday Leave + FREE Lunch (3xtimes
RESPONSIBILITIES 1. Responsible for handling the complete set of accounts and ensuring timely and accurate preparation of monthly financial reporting package.
Bookkeepers record and assemble the day-to-day financial transactions of an organisation or company, consisting usually of sales, purchases, payments and
**Requirements**- Minimum Diploma in Finance or related field- Worked in FMCG industry will be an added advantage- Minimum 2 years of experience is a must-
**Property Accountant Duties**- Prepare monthly bank reconciliations- Oversee cash disbursements and maintain cash books- Process daily and month-end
1.0 ACCOUNT PAYABLE- Check and key in all the bills that received from supplier and consultants.- Record the payment to the supplier and consultants along with
Job ResponsibilityWe are looking for a qualified Accountant to handle prepare, compute, manage, research and analyze all accounting data, in order to provide
**Job description**- Able to handle full sets of accounts, prepare monthly report (e.g., P&L, BS, Bank Reconciliation, Stock Report & etc.).- Perform monthly &
**_Responsibilities:_**- Perform full sets of Accounts using the Autocount Accounting software.- Generate monthly financial statements- Prepare monthly
As the Finance Trainee, you will be responsible to assist the Finance Executive for performing the following tasks to the highest standards:General- Maintain a
Job Responsibility Handle Full set of Accounting ( by using SQL Accounting software ) Handle Bank Reconciliation Ability to meet account deadlines. Preparing