Accouting Jobs in Federal Territory - September 2026 - Urgent Hiring

Paparan 550 hasil carian kerja kosong untuk "accouting" di Federal Territory
Jangan lepaskan peluang untuk kerja Accouting terkini! di Federal Territory

Virtustant

Undisclosed

KL City

  • Job Title: Bookkeeper
  • About the Company:
  • Our client is a growing manufacturing company that operates a machine shop and manages its accounting and administrative activities through QuickBooks Online and an ERP system. ...
Posted
11 days ago
Undisclosed

KL City

  • Preparation of monthly group executive summary and performance analysis, particularly sub-group of Property Segment, and any other segments as and when required.
  • Supporting the preparation of Quarterly presentation slides to the Audit Committee and Board of Directors as well as other relevant stakeholders.
  • Supporting the preparation of reporting notes to Condensed Group Financial Statements quarterly as well as Group Financial Statements annually, specifically on capital commitment, right-of-use and lease obligation, trade receivables, trade payables, and inventories. ...
Posted
15 days ago
Undisclosed

KL City

  • Assist in month-end financial close activities and day-to-day accounting operations, including preparation of invoices, journal entries, accounting documents, balance sheet schedules, and reconciliations.
  • Assist in preparing monthly financial reports, variance analyses, and management reporting materials.
  • Support compliance activities, including external audit, tax reporting, and statutory reporting requirements. ...
Posted
15 days ago
Undisclosed

KL City

  • Manage daily accounting operations, including accounts payable/receivable, general ledger, and bank reconciliations
  • Support the timely preparation of monthly, quarterly, and annual financial statements according to IFRS for international entities in the Roland Berger Group.
  • Work closely with our tax and controlling teams. ...
Posted
22 days ago
Undisclosed

KL City

  • Handling procure-to-pay (P2P) and operational accounting activities
  • Performing cash and bank reconciliations
  • Maintaining fixed asset registers and depreciation schedules ...
Posted
13 days ago
Undisclosed

KL City

  • Oversee day-to-day accounting operations, including general ledger, accounts payable/receivable, and payroll.
  • Oversee operations for the annual financial statements.
  • Working on reports for budgeting, forecasting, and financial planning processes. ...
Posted
16 days ago
Undisclosed

KL City

  • Process and validate capital expenditure transactions in line with capital accounting policies and control frameworks
  • Review Asset In Service (AIS) documentation for completeness and accuracy
  • Support compliance activities such as timesheet validation, capital drawdown tracking, and funding allocation follow-ups ...
Posted
2 days ago
MYR750 - MYR900 Sebulan
  • Assist with month-end financial reports.
  • Post journal entries.
  • Help with accounts receivable, payable and bank statement reconciliation. ...
Posted
2 days ago
Undisclosed

KL City

  • Prepare monthly journal entries and account reconciliations related to Inventory and Cost of Sales related to our North America region.
  • Perform fluctuation analysis of financial results to help ensure accurate reporting
  • Produce monthly financial reporting package related to cost accounting and distribute amongst regional controllership team ...
Posted
2 days ago
Undisclosed

KL City

  • Prepare and review monthly tax accounting entries and reconcile tax balances.
  • Assist in the preparation of monthly closing board notes across all jurisdictions
  • Coordinate with internal teams (finance, legal, operations) to collect and validate tax-related data. ...
Posted
2 days ago
MYR2,000 - MYR3,000 Sebulan

KL City

  • Assisting the accounting team with various tasks such as data entry, bank reconciliations, and preparing invoices
  • Providing administrative support including filing, document organisation, and answering inquiries
  • Maintaining accurate records and ensuring all financial documentation is properly stored ...
Posted
2 days ago
Undisclosed

KL City

  • Manage all accounting and operational aspects of all Funds, including calculating Net Asset Value (NAV) and ensuring accurate data entry in the General Ledger (GL).
  • Assist in preparing and submitting various reports, such as fund valuation report, equity transaction report, investor reports etc.
  • Reconcile cash balances and portfolio holdings to ensure consistent information with trustees’ record. ...
Posted
5 days ago
Undisclosed

KL City

  • Bookkeeping & Accounting Support
  • Assist in maintaining accurate accounting records for clients.
  • Support preparation of financial statements and reconciliations. ...
Posted
21 days ago

Affinity Corporate Solutions Sdn Bhd

MYR3,000 - MYR3,500 Sebulan

KL City

  • Assist with the day-to-day accounting and finance operations for our clients.
  • Understand the clients' finance workflows, procedures and internal controls.
  • Support clients with their day-to-day finance processes, payment matters and administrative requirements. ...
Posted
17 days ago
Undisclosed

KL City

  • Identify discrepancies in records and propose adjustments.
  • Line of Service
  • Industry/Sector ...
Posted
21 days ago
MYR800 - MYR800 Sebulan

KL City

  • Additional leave
  • Free parking
  • Meal provided ...
Posted
23 days ago
MYR900 - MYR1,000 Sebulan

KL City

  • Working Hours : 10.30AM - 6.30PM (Mon - Fri)
  • Location : 38-3, Jalan Metro Pudu, Off, Jln Yew, Fraser Business Park, 55100 Kuala Lumpur (LRT can reach)
  • Pay: RM900.00 - RM1,000.00 per month ...
Posted
23 days ago
Undisclosed

KL City

  • Maintain the General Ledger Accounts
  • Manage Fixed Asset/Prepayment/Expense Accrual schedules
  • Manage Balance Sheet reconciliations ...
Posted
15 days ago
Undisclosed

KL City

  • Monitor all inter-company transactions and activities to ensure they are booked timely and accurately, including but not limited to
  • Review monthly inter-company account reconciliations, oversee the team to solve the imbalance items coordinate for complicate outstanding issues, maintain the KPIs in a good shape.
  • Lead and monitor monthly intercompany payment process to ensure the intercompany balances are cleared timely with compliance with specific countries’ practice. ...
Posted
17 days ago
Undisclosed

KL City

  • What you will be doing?
  • • To provide seamless operational backup and assume full entity accounting responsibilities during the permanent accountant’s maternity leave.
  • • The accountant is responsible for the provision of regular financial and tax information in compliance with Group guidelines and local financial reporting regulations. ...
Posted
15 days ago
MYR800 - MYR1,200 Sebulan

KL City

  • Assist with day-to-day accounting and finance operations, including data entry, documentation and record keeping.
  • Perform bookkeeping and maintain proper accounting records
  • Assist with account reconciliations and basic financial reporting tasks ...
Posted
9 days ago
Undisclosed

KL City

  • Responsible for the accounting and administration of private equity real estate funds and investment holding entities.
  • Be the primary client service contact for assigned client accounts. Respond promptly to client requests. Strengthen client relationships
  • Prepare stand-alone and consolidated management accounts and schedules ...
Posted
9 days ago
MYR750 - MYR900 Sebulan
  • Assist with month-end financial reports.
  • Post journal entries.
  • Help with accounts receivable, payable and bank statement reconciliation. ...
Posted
9 days ago

The Edge Partnership - The Edge In Asia

Undisclosed

KL City

  • Lead the regional reporting team, ensuring timely, accurate account closures and periodic reporting.
  • Ensure compliance with accounting standards, controls, and statutory requirements across jurisdictions.
  • Track regulatory and accounting standard changes, assess impact, and update policies accordingly. ...
Posted
9 days ago
Undisclosed

KL City

  • To provide seamless operational backup and assume full entity accounting responsibilities during the permanent accountant’s maternity leave.
  • The accountant is responsible for the provision of regular financial and tax information in compliance with Group guidelines and local financial reporting regulations.
  • Ensure continuous compliance with all Finance policies, processes and procedures and promote best practice. ...
Posted
16 days ago
Undisclosed

KL City

  • Own month-end close activities for assigned entities, including journal entries, reconciliations, management reports, and variance analysis
  • Prepare and review financial statements, supporting schedules, and accounting documentation
  • Support multi-entity accounting activities across different countries and currencies ...
Posted
16 days ago
Undisclosed

KL City

  • Assist the department of where the intern is attached to on task set out by the team
  • Performing administrative task/duties
  • Working closely with the department team members to complete any given task or assignments ...
Posted
24 days ago
Undisclosed

KL City

  • Process supplier invoices, staff advances and supplier payments, including supplier statement reconciliations and maintenance of supporting records.
  • Prepare customer invoices, update customer payments, reconcile customer statements and follow up outstanding balances with the Project Team.
  • Perform bank reconciliations, prepare monthly journals, AP/ AR ageing and account reconciliations, and maintain intercompany and month-end files. ...
Posted
16 days ago