**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: Accountable for new project start-up. Coordinate NPI activities with cross-functional support. Liaise with customers and coordinate with
Responsibilities: Handle customer RFQ package and follow up with internal team until quote submission. Lead NPI of projects awarded. Manage from engineering
**Responsibilities**:**Job Specifications**:Responsible and assist the Accounting Manager for preparation and finalization of group accounts.- Managing and
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
**Responsibilities**:- Manage a full set of accounts following accounting principles.- Reconciling account balances and general ledger entries with bank
**Responsibilities**:- Responsibilities- Provides effective end-user support on IT hardware and software issues- Carries out installation and configuration of
**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**: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: Handle customer RFQ package and follow up with internal team until quote submission. Lead NPI of projects awarded. Manage from engineering
Handle full set accounts including bank reconciliation, prepare financial statements for monthly accounts and yearly accounts for various clients.- Taxation
Responsibilities: Accountable for new project start-up. Coordinate NPI activities with cross-functional support. Liaise with customers and coordinate with
Responsibilities: Handle customer RFQ package and follow up with internal team until quote submission. Lead NPI of projects awarded. Manage from engineering