Search Results: 13 vacancies
...financial and management report.
Assist in group quarterly, year-end consolidation & handle full set accounts
Perform daily bank reconciliation, maintain the accounting system with correct recording of journal entries.
Assist department head in compiling information...
...Responsibilities:
Prepare daily bank reconciliation report.
Maintain proper record and organisation of filling system.
Responsible for day-to-day finance and accounts administration tasks.
Complete weekly bank recon to ensure no discrepancy in banking....
...Oversee day-to-day financial transactions, including accounts payable, accounts receivable, bank reconciliation and general ledger entries.
Manage timely closing of monthly account and analyze financial reports to provide insights into company's financial performance...
...additional support including a variety of project-related work and daily management tasks related to material sourcing and price reconciliation. Focus will be on day-to-day activities vital to running the business and you will report to a more senior member of the...
...units DSO report, AR aging report, and overdue AR report.
Compile detailed AR reports for Shared Services Hub
Perform AR reconciliation.
Attend AR review meeting with business units.
Skill, Education & Experience
~ BA degree in Business or Accounting....
...and general ledger.
Ensure timely and accurate recording of financial transactions, including journal entries, accruals, and reconciliations.
Capability to lead finance team, assist various departments in accounting issues and queries ensure data accuracy...
...operational procedures and prepare strategic plans to ensure adherence to all departmental standards and objectives.
Perform reconciliation of inventory on timely manner to ensure stock accuracy
Utilize and enhance internal software to monitor overall inventory...
...receivable and generate weekly collection report
~To keep track of relevant documents, record and proper filing
~To prepare month-end reconciliation and analysis of general ledger accounts
~To generate some sales reports, fixed asset report
~To assist daily operational...
...accounts receivable/accounts payable, closely collaborating with Finance.
Conduct monitoring of operational invoicing and SOA reconciliation when necessary.
3.Office Supply & Inventory Management:
Oversee the management of office supplies, including pantry...
...outbound
Ensure timely processing of all inbound/outbound activities to meet overall company business objectives.
Inventory reconciliation between in-house tracking system and the physical counts.
Keep track on all the aging/problematic car and do the necessary....
...Specialist - FP&A Operations , you will be responsible for:
Preparing month end and quarter end close entries as well as account reconciliations.
Assisting in ad hoc projects and financial analysis to support key business decisions and projects.
Gathering and...
...government agencies (with the help of legal and tax consultants).
Supervise the preparation of quarterly and annual account reconciliations, monitor, and enforce compliance with financial reporting standards and bursa listing requirements.
Responsible to oversee year...
...government agencies (with the help of legal and tax consultants).
Supervise the preparation of quarterly and annual account reconciliations, monitor, and enforce compliance with financial reporting standards and bursa listing requirements.
Responsible to oversee year...