**Responsibilities**:- Handle full set accounts and monthly management reports.- prepare and handle account payable and account receivable of the company-
**ACCOUNTABILITY**- Responsible for each respective branch business outlets, the full set of accounts, accuracy and timely reporting.- Responsible full set
Handling full set of accounts and performing month-end closing in a timely manner- Manage Payables and Receivables- Performing day-to-day accounting
Our team in Shah Alam currently has an opening for a Finance Manager YOUR ROLE & RESPONSIBILITIES Oversee the closing of the monthly management accounts for
**Account Executive I 33979 ZW - C(A35)**Salary Range : Up to RM5KWorking Hours : 9am-6pmWorking Day : Monday to FridayWorking area : Petaling Jaya,
JOB VACANCYPOSITION - ACCOUNTS MANAGERLOCATION - KAPAR, KLANGSALARY - RM 7000-8000Job Descriptions:1. Perform full spectrum of accounting & financial reporting
Prepare full sets of accounts according the accounting period and monitoring on account payable and account receivable.- Responsible for daily accounting
**Key Responsibilities**- Responsible for monthly closing of management account of the Company and ensure meeting all requirement of applicable approved
Handling reception - answer incoming telephone calls, take and disseminate messages, attend to walk in customers, general cleanliness of the office,
Requirements- Possess at least Degree or professional certificate in Finance/Accountancy or equivalents.- Have experience in retail industry- Self-motivated
**Responsibilities**:- Overall responsible for the accounting functions for the companies assigned.- Manage the day-to-day operation of Account and
**Job scope:- **- Responsible for maintaining full sets of accounts.- Responsible for preparing monthly management accounts, reports and schedules in a timely
To handle daily account & finance operations- To oversee and guide junior assistant- To do full set of account and monthly submission to Management before
1. Oversee the daily accounting and financials, to ensure the smooth running of the departments in order to support the business operation.2. To monitor,
As a Treasury Executive at OCK, you are responsible to liaise with stakeholders on financing matters and ensure liquidity, efficient cash management and
Financial Reporting- Review the group finance functions including corporate finance, taxation, financial management and reporting.- Implement and strengthen
Completion of Full Financial Statements - Income Statement & Balance Sheet monthly for Management review.- Responsible for daily accounting activities and
**Responsibilities**- Responsible for a full set account book keeping- To perform daily checking of bank balance and bank statements in the system- To
**(1) Finance Management and Administration**- Oversee the smooth and efficient running of group's finance teams, including constant review and improvement of
**Role****Duties & Responsibilities**- Preparing month-end reports for management, including profit and loss statements, balance sheets, and cash flow