Search Results: 3 vacancies

 ...documentation works. Responsible for day-to-day finance and accounts administration tasks. Perform monthly bank statement reconciliation and resolve discrepancy if any. To perform any other duties as assignment by management from time to time.... 

Sin Seong Hin Sdn Bhd

Kepong, Kuala Lumpur
5 days ago
 ...accounting standard and regulatory requirements. Overview of daily financial accounting operations including AR, AP, GL and reconciliations. Confirms financial status by monitoring revenue, expenses, coordinating the collection, consolidation and evaluation of financial... 

RAINBOW PELLET SDN. BHD

Kepong, Kuala Lumpur
1 day ago
 ...with loan application and loan collection Work with HQ financial person to double check the branch's bank account booking and reconciliation on petty cash Issuance of payment receipts for booking and down payment, invoices, submission documents to bank for loan... 

Different Technologies Pty Ltd.

Kepong, Kuala Lumpur
2 days ago