Search Results: 4,384 vacancies

MYR 3,500 - 4,500 per month

 ...What A Day Looks Like @ Elliot & Co Oversee and manage the general accounting functions, including, but not limited to: accounts payable, accounts receivable, general ledger, and taxes Perform monthly bank reconciliations, review and finalise accounts to ensure accuracy... 

Elliot & Co.

Kota Damansara
17 hours ago
3.2 Memastikan dan menyemak pembayaran kepada Penghutang selaras dengan peraturan syarikat dan diluluskan oleh Pembekal setiap bulan. 3.4 Memastikan "ageing" penghutang & pemiutang mengikut tempoh pembayaran yang sepatutnya bagi mengelakkan gangguan penghantaran 3.5...

AZMAN HAMZAH PLASTIK SDN BHD

Shah Alam
3 days ago
 ...Job Responsibility Handle day to day full set accounting duties Oversee the finance & accounting department Prepare financial performance analysis Cash flow planning & controlling Oversee credit control function Prepare financial forecast & budgetary... 

AR Furniture Marketing Sdn. Bhd.

Bestari Jaya, Selangor
6 days ago
 ...records of invoices, debits and credits Verifying validity of account discrepanices Resolve valid or authorised deductions...  ...): SQL Accounting Software Preferably 1-2 years experience Executives specializing in full set accounting, general entry or equivalent... 

Floor Depot Retail Sdn Bhd

Selangor
6 days ago
 ...Job Responsibility To ensure the bank reconciliation, invoices & receipts, account receivable and payable are perform in good manner. Manage monthly staff & director claims; In charge of accounts payable i.e. logging of suppliers' invoices, process payments,... 

Food Delicacy Material Sdn Bhd

Selangor
22 days ago
 ...Job Responsibility To handle full set of accounting, ensure timely and accurate preparation of financial report and other related schedules. Coordinate and execute financial transactions and activities, such as bill payment, invoicing , etc. Assist in the credit... 

SH Cogent Logistics Sdn Bhd

Selangor
23 days ago
 ...Job Responsibility Manage full set of accounts following accounting principles, including bank reconciliation, schedules, journal entries...  ...for reporting purposes. Record and process accounts payable and accounts receivable. Assist in preparation and data interpretation... 

Empire Asia Events Marketing Sdn Bhd

Petaling Jaya
23 days ago
 ...Job Responsibility Handle full set of accounts Prepare management accounts and note to account analysis. Prepare yearly tax assessment...  ...Management of daily financial transaction including, account payable, account receivable etc. Ensure proper accounting of general... 

NSSF MANAGEMENT SERVICES SDN BHD

Selangor
25 days ago
 ...Job Responsibility Accounting Functions Oversee the full spectrum of accounting activities, including accounts payable/receivable, general ledger entries, and bank reconciliations. Ensure compliance with accounting standards, policies, and regulations. Handle... 

Mark Walker Drinks Sdn Bhd

Shah Alam
25 days ago
 ...Job Responsibility To handle full set of accounts: AP, AR, and G/L. To handle SQL Accounting System. To perform monthly bank reconciliation, monthly analysis, daily chq issuance, daily collection. To update monthly ageing report. To assists superior as... 

Sempurna Petroleum (M) Sdn Bhd

Selangor
22 days ago
 ...Job Responsibility Handle Full set of Accounting ( by using SQL Accounting software ) Handle Bank Reconciliation Ability to meet...  ...provided Free Parking Annual Leave up to 16 days for Executive level Annual Bonus, Trip, Lunch/Dinner Birthday Celebrations... 

Myedu Group Sdn Bhd

Petaling Jaya
22 days ago
 ...Job Responsibility Manage full set of accounting, ensure accuracy & completeness of record Primary support on AP & AR functions...  ...Conduct regular reconciliation of bank statements, accounts payable, and accounts receivable to ensure accuracy and identify discrepancies... 

richtaqwa sdn bhd

Shah Alam
25 days ago

MYR 3,000 - 6,000 per month

 ...detailed and accurate financial records for the Company, including income, expenses, and transactions. 2. Handle and prepare full set accounts, monthly management accounts, financial year end accounts and generate relevant reports including performing month end closing,... 

Sun Plaza Development Sdn Bhd

Seri Kembangan, Selangor
17 hours ago
 ...Job Responsibility To handle full set of accounts and cash flow management (full set as bonus point) To handle accounts receivables and account payables To handle correspondence with authorities/3rd parties Ensuring in timely closing of monthly accounts Monitoring... 

Good View Industries Sdn Bhd

Selangor
25 days ago
 ...Job Responsibility Perform daily accounts transaction. SST submission. Liaise closely with supplier on payment related issue. AR/AP Payment update. Handle day to day operations of invoices. Maintain and manage proper filing of accounting document.... 

S & A Logistic Sdn Bhd

Selangor
22 days ago
 ...Job Responsibility To handle full set of accounts. To perform monthly bank reconciliation, monthly analysis, daily chq issuance, daily collection. To submit management report as per dateline. To update monthly ageing report. To assists superior as when... 

PCS Vision Sdn Bhd

Selangor
22 days ago
 ...Job Responsibility Able to handle full sets accounts, prepare monthly closing and financial reports independently under minimum supervision...  ...related field is required for this position. Preferably Executives specializing in Finance - Audit / Taxation or equivalent.... 

The Lunatics Worldwide Sdn Bhd

Selangor
22 days ago
 ...Resolve invoice and payment discrepancies with internal and external parties Prepare and process staff claim Prepare Notes to Account, BS and PL schedule Assist in preparing relevant financial and management reports for analysis purpose Job Requirements... 

OSIM Malaysia

Petaling Jaya
23 days ago
 ...Job Responsibility Preparation of full set of accounts including monthly management report with analysis report, required schedules...  ...payment collected or prepared within the timeline. Handle account payable, receivable, general ledger and bank reconciliation. Prepare... 

Heng Rui Da (M) Sdn Bhd

Selangor
25 days ago
 ...items (due invoices, credit notes, debit balance, etc.) before execution of payment Prepares batch check runs, wire transfers, and...  ...subject to the affiliate's requirements Perform AP balance sheet accounts reconciliations and clearing of aged items, e.g. GR/IR, GIT,... 

F. Hoffmann-La Roche Ltd

Petaling Jaya
4 days ago