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- ...departments/functions! Responsibilities : -Involve in month end closing and reporting : i) month end closing reporting; ii) quarterly reporting (Bursa) -Perform monthly accounting reconciliation -Perform reconciliation on accounting/SAP record vs physical...
MYR 76,500 - 93,500 per year
...optimize business processes and improve operational efficiency. Job Description ~Develop and maintain comprehensive dashboards and reports to support business objectives. ~Analyze complex datasets to identify trends, insights, and opportunities for improvement. ~...- ...PLEASE COMPLETE COMPANY DESCRIPTION Accountants review and analyse financial statements, budgets, financial reports, and business plans in order to check for irregularities resulting from error or fraud, and provide their clients with financial advice in matters such...
- ...• Cross-check bank statements and maintain accurate financial records. • Assist in preparing monthly financial reports and analysis. • Handle accounts payable and accounts receivable functions. • Assist in statutory submissions (e.g., SST, EPF, SOCSO, PCB). • Support...
- ...PLEASE COMPLETE COMPANY DESCRIPTION Accounting assistants record and report ticketing accounting situations to the accountant they work with, verify deposits and prepare daily reports and income. They arrange authorised refund vouchers, maintain the returned check accounts...
- ...Ledger & Financial Closing: Supervise and review the work of Accounts Assistants related to accounts payables and general ledger... ...reconciliations. Project Costing & Work-in-Progress (WIP) Reporting: Contribute to project costing and ensure accurate Work-in-...
MYR 24,000 per year
...and external stakeholders and ensuring correct booking of received payments. Preparing bank reconciliations, ageing report and Statement of Accounts. Proactively engaging in continuous improvement initiatives for the AR process. Supporting internal and external...- ...Description This is a contract role for a Finance Executive - Reporting at Little Caliphs International Sdn Bhd in Shah Alam. As a... ...operations. The details job description as per below: # Perform accounting activities in accordance with accounting principles and...
- Requirements: Responsible for the preparation of full sets accounts including submission of financial statements and management reporting on timely basis. Responsible for all aspect of accounting functions including GL, CB, AP and AR including accounting data entries...
- About the role -Supporting the A2R team (Account to Report), CCM team (Credit and Cash Management), or Admin Team in everyday operational tasks, including invoice accounting, involves entering data into the SAP system and performing data validation. Please indicate...
MYR 24,000 per year
...categories and creating more brand diversion in the future. The Role Role Responsibilities : To assist in handling accounting data entry and daily operations of accounting function To assist in bank reconciliation, journal entry & monthly closing. To...- Be part of the accounting team behind beloved brands like Care Bears, Warner Bros partnerships, and gaming accessories across 560+ retail... .... -Assist in preparing financial statements, management reports, and relevant documentation for internal use and external reporting...
- -Process and record accounts payable and accounts receivable transactions -Maintain accurate and up-to-date financial records and... ...department -Assist with the preparation of financial reports and statements [Apply now at ; JOB REQUIREMENTS:...
- This role begins with supporting daily accounting operations and gradually expands to handling a full set of accounts. During and after the probation period, the candidate is expected to develop the capability to independently manage full accounting responsibilities....
MYR 24,000 per year
...Opportunity to make a positive impact Fantastic work culture The Job Role Responsibilities : To assist in handling accounting data entry and daily operations of accounting function To assist in bank reconciliation, journal entry & monthly closing. To...- ...documents arrangement Data Entry and Documentation. - Perform data entry tasks in ERP systems. - Maintain proper filing of accounting documents. -Account Reconciliation - Help reconcile general ledger accounts with sub-ledgers or supporting documents. - Investigate...
- ...Role Summary The main responsibility of the Accounts Payable Intern is to support the Finance team in managing the day-to-day accounts... ...reconciling the accounts payable ledger Help identify and report discrepancies by reviewing vendor statements Assist with basic...
- ...[Apply now at ; JOB REQUIREMENTS: -Currently pursuing or recently completed a Diploma or Bacchelor's Degree in Finance, Accounting or any related filed. -Required language(s): Mandarin, Bahasa Malaysia, English -Candidates fluent in Mandarin is extra advantage...
- ...Helping Companies grow through HR consultancy and advice. Accountant – Job Summary Our client, established in 2006 with its Malaysian... ...processes Prepare and review financial statements and reports for local management and Japan HQ Monitor WIP (Work in Progress...
- ...'re the perfect match. We are looking for a competitive Key Account Executive to champion the Corporate sales area and continuously... ...lead time, packaging planning etc; -Prepare periodic sales reports and market analysis to management in order to identify key insights...
- ...Available: No Relocation Assistance Available: No Primary Responsibilities: You will maintain financial reporting system in line with Goodyear accounting policies, US GAAP, and local requirements. You wil review and approve the MJEs and ensure proper accounting...
- ...overall Modern Trade (MT) channel (both Local and International Key Accounts) including sales programmes. The management of sales... ...all MT customers. -Understand category-specific trends and reporting on the forces that shift tactical budgets and strategic direction...
- Responsible for handling accounts receivable operations, including collections, claims, credit assessments, and reconciliations. Manages documentation, reporting, and contract administration in compliance with company policies. Supports audits, regulatory reporting, and...
- ...is your chance to join us for an exciting and promising career! Responsibilities: Able to assist full set account. Compiling, analyzing and reporting financial data. Creating periodic reports such as balance sheets, profit and loss statements, etc. Maintain...
- About the Company: A leading logistics provider offering comprehensive solutions for transportation and supply chain needs. It specializes in air, sea, and land freight, warehousing, distribution, and value-added services. The company caters to diverse industries, including...
- Job description Knowing the team: Key Account Managers (Sales team) are a group of innovative, professional and aggressive people that develop tailored product solutions and proposals as well as business partnership opportunities for various parties in the industry. Each...
- ...Position: Senior Accounts Executive Location: Kota Kemuning, Shah Alam Salary: Max RM5,500 Nature of business: one of the world... ...security seal Job description: · Update cash book & collection report · Verify Bank Reflex transaction · Update AR transaction...
- ...with multiple stakeholders beyond the primary contact to maximise account penetration. Strategic Account Mapping : Conduct in-depth... ...SOPs, maintaining consistency and high service standards. Reporting & Performance Management : Oversee the creation, monitoring, and...
- 1 Position available: 1 in Perak Delivers sales volume achievement and market share by developing strong business partnerships with customers in stores Responsibilities: ~Promote and sell our portfolio of products to outlets/customers for stores ~Evaluate and anticipate...
- ...payment to vendors to maintain positive relationships. 3. Vendor Account Management: o Maintain and update vendor records in the... ...resolve any payment-related discrepancies. 4. Reconciliation and Reporting: o Reconcile accounts payable ledgers with the general ledger...