Search Results: 12 vacancies

 ...investigate, and correct discrepancies Daily bank statement uploads to accounting and treasury systems Bank posting and reconciliation Financial reporting and cash-flow management Input foreign exchange hedging requests into the treasury system Perform... 

Lidl & Kaufland Asia

Negeri Sembilan
3 days ago
 ...and financial statements. Responsible for accounting processes and tasks such as preparation of accounting journals and bank reconciliation. Timely production of management accounts, financial statements, accounting schedules, cash flow projections and financial... 

SUTL Corporation

Negeri Sembilan
2 days ago
 ...interview arrangement, upkeep employee information, etc. * Prepare and record claim/invoicing to customer, payments collection and reconciliation. * Any other related duties and when assigned by management. REQUIREMENT: * Candidates must posses at least Min SPM. At... 

TIME's group

Seremban
2 days ago
 ...to determine costs of business activities such as raw material purchases, inventory, and labour. 12. Responsible for account reconciliation of physical inventories and cycle counts. 13. Prepare periodic inventory reserves reconciliation, analysing inventory for risk... 

PAN ASIAN DAIRIES SDN BHD

Seremban
4 days ago
 ...ANALYSIS ON DAILY CASHFLOW AND MONTHLY CLOSING. 3. LIAISE WITH BANKS, AUDITOR AND TAX AGENTS WHENEVER NECESSARY. 4. UPDATING & RECONCILIATION OF MONTHLY TRADE CREDITORS. 5. UPDATING AND TRANSACTING ALL INCOMING FUNDS FROM TRADE DEBTOR. 6. TRANSFER PRICING. 7.... 

HeveaBoard Berhad

Gemas, Negeri Sembilan
4 days ago
 ...Ensure compliance with relevant laws, regulations, and policies - Manage accounts payable/receivable processes - Perform bank reconciliations on a regular basis - Handle payroll processing including tax calculations - Support month-end closing activities -... 

SANICHEM RESOURCES SDN. BHD.

Negeri Sembilan
3 days ago
 ...business. ~ Assist in tax accounting processes, including tax provision calculations, deferred tax asset/liability analysis, and reconciliation of tax accounts in accordance with local and Group accounting standards. ~ Support the resolution of tax queries, including... 

Lidl & Kaufland Asia

Negeri Sembilan
4 days ago
 ...suppliers' enquiry and support internal and external audit. Monthly closing activities included accruals, account analysis, account reconciliation and monthly reporting. Any ad hoc assignment to be assigned. onsemi (Nasdaq: ON) is driving disruptive innovations to... 

ON Semiconductor Malaysia Sdn. Bhd.

Seremban
1 day ago
 ...Responsibilities: Maintain accurate financial records including accounts payable, accounts receivable, general ledger entries, bank reconciliations. Assist with budget preparation and forecasting activities. Ensure compliance with local tax laws and regulations.... 

SANICHEM RESOURCES SDN. BHD.

Negeri Sembilan
3 days 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.

Seremban
4 days ago
 ...Update and maintain records of customer receipts. General Ledger (GL) and Reporting Maintain bank book and perform monthly reconciliations. Conduct monthly physical inventory and ensure accuracy of inventory reports. Process staff claims, ensure completeness... 

Trust Recruit

Negeri Sembilan
2 days ago
 ...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... 

Career Horizons

Nilai, Negeri Sembilan
3 days ago