Accounting assistants record and report ticketing accounting situations to the accountant they work with, verify deposits and prepare daily reports and income.
Preparation of monthly P & L and Balance sheet - Invoice generation and payment follow-up - Perform daily accounting transactions such as creating & posting
Responsible in handling product costing which interdependently collaborate with Supply Chain and PIE Engineering to develop standard cost model. - Perform
**Responsibilities**: - Report directly to Finance Manager - Reconciliation of balance between Inventory records to General Ledger - Prepare standard product
Accountants review and analyse financial statements, budgets, financial reports, and business plans in order to check for irregularities resulting from error
To gain good product knowledge with regards to purchase specifications and quality standards through receiving processes. - To be fully acquainted with the
**Overview**: Guan Chong Berhad is Asia's largest cocoa processing company and our main factory is located at Pasir Gudang, Johor. We produce full range of
Accounting assistants record and report ticketing accounting situations to the accountant they work with, verify deposits and prepare daily reports and income.
Inspur Tech Sdn. Bhd. provides Accounting sales & software support, Computer sales & services, Factory & Office CCTV & networking, HRDF Certified Training,
JOB SUMMARY : Responsible for accounting and finance activities within the company and business units to ensure financial reports are timely and accurate.
Job summary Accounting/Finance transformation initiatives/Governance and Assurance Cash Management Taxation Audit (Internal & External) Job
Accounting assistants record and report ticketing accounting situations to the accountant they work with, verify deposits and prepare daily reports and income.
Bookkeepers record and assemble the day-to-day financial transactions of an organisation or company, consisting usually of sales, purchases, payments and
**Responsibility / Job Scope**: 1) Cost Accounting functions and Inventory Accounting 2) Responsible for accurate inventory valuation. 3) Perform monthly
To prepare monthly financial and management report and provide variance analysis. - To assist in month end closing process by following corporate guidelines on
Accounting assistants record and report ticketing accounting situations to the accountant they work with, verify deposits and prepare daily reports and income.
Preparation of monthly P & L and Balance sheet - Invoice generation and payment follow-up - Perform daily accounting transactions such as creating & posting
Accounting assistants record and report ticketing accounting situations to the accountant they work with, verify deposits and prepare daily reports and income.
**Duties and Job Description** - Preparation of monthly P & L and Balance sheet. - Invoice generation and payment follow-up. - Perform daily accounting
Business Nature - Multi-National Company in Retail Healthcare products Work Location - Tebrau, Johor Type of hire - Permanent / FullTime Specialized