Job ResponsibilityAct as the point of contact between the executives and internal / external clientsUndertake the tasks of receiving calls, take messages and
Handle full set accounts including bank reconciliation, prepare financial statements for monthly accounts and yearly accounts for various clients.- Taxation
Job Responsibility Act as the point of contact between the executives and internal / external clients Undertake the tasks of receiving calls, take messages and
**Responsibilities**:1. Manage a full set of accounts following accounting principles.2. Reconciling account balances/general ledger entries with bank
Handle full set accounts including bank reconciliation, prepare financial statements for monthly accounts and yearly accounts for various clients.- Taxation
**Responsibilities**:**Job Specifications**:Responsible and assist the Accounting Manager for preparation and finalization of group accounts.- Managing and
**Requirements**:- ** FRESH GRADUATES** are encouraged to apply. On-The-Job training will be provided.- Good communication skills; written and spoken.-
Responsibilities- Provides effective end-user support on IT hardware and software issues- Carries out installation and configuration of desktops, laptops,
Promoting the SH mind-set throughout the organization in a motivating and inspiring manner- Monitor SH issues for BSL Group and all related- Prepare report and
Handle full set accounts including bank reconciliation, prepare financial statements for monthly accounts and yearly accounts for various clients.- Taxation
**Responsibilities**:- Responsibilities- Provides effective end-user support on IT hardware and software issues- Carries out installation and configuration of
**Responsibilities**:- Manage a full set of accounts following accounting principles.- Reconciling account balances and general ledger entries with bank
**Requirements**:- Familiar with the concepts of basic LAN/WAN networking infrastructure, MS Office- Minimum of 1 to 2 years experience in MIS IT or performing
Handle full set accounts including bank reconciliation, prepare financial statements for monthly accounts and yearly accounts for various clients.- Taxation
**Responsibilities**:- Manage a full set of accounts following accounting principles.- Reconciling account balances/general ledger entries with bank
**Responsibilities**:- Manage a full set of accounts following accounting principles.- Reconciling account balances/general ledger entries with bank
Responsibilities: Handle customer RFQ package and follow up with internal team until quote submission. Lead NPI of projects awarded. Manage from engineering
Responsibilities: Handle customer RFQ package and follow up with internal team until quote submission. Lead NPI of projects awarded. Manage from engineering
Responsibilities: Accountable for new project start-up. Coordinate NPI activities with cross-functional support. Liaise with customers and coordinate with
**Responsibilities**:**Job Specifications**:Responsible and assist the Accounting Manager for preparation and finalization of group accounts.- Managing and