General Ledger Jobs in Bandar Kuala Lumpur - October 2026 - Urgent Hiring

Showing 97 jobs results for "general ledger" in Bandar Kuala Lumpur
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KL City

  • Assist in the preparation of monthly journal entries, accruals, and reclassifications.
  • Support month-end close activities, ensuring timely and accurate posting of transactions to the general ledger.
  • Perform balance sheet and P&L account reconciliations, identifying and resolving discrepancies. ...
Posted
6 days ago

KL City

  • As Southeast Asia's #1 integrated logistics provider, Teleport is all about making logistics fast, affordable and reliable. Our mission? To move things across Southeast Asia better than anyone else. We're focused on making next-day delivery a reality for all.#TeamTeleport is guided by our values: Move with urgency — because time is crucial; Aim to pioneer — constantly innovating to stay ahead; Do it with intent — delivering with purpose and precision; and Keep it real — maintaining authenticity and transparency in all we do.Learn more about Teleport here: https://www.teleport.it/
  • We are seeking a highly motivated and detail-oriented individual to join our Record to Report (R2R) Operations team as a Finance Intern. This internship offers a hands-on opportunity to gain practical experience in financial reporting, general ledger management, reconciliations, and month-end close activities, while collaborating with various functions within Finance Operations and Accounting Reporting (FOAR) — including Accounts Receivable (AR), Accounts Payable (AP), and Treasury. You will support the end-to-end financial close and reconciliation process, gain exposure to ERP systems and banking platforms, and contribute to internal control, reporting, and process improvement initiatives.
  • A DAY IN LIFE ...
Posted
6 days ago

KL City

  • Assist in the preparation of monthly journal entries, accruals, and reclassifications
  • Support month-end close activities, ensuring timely and accurate posting of transactions to the general ledger
  • Perform balance sheet and P&L account reconciliations, identifying and resolving discrepancies ...
Posted
6 days ago

KL City

  • To assist in fixed assets and internal transaction. Preparation of monthly bank reconciliations for bank accounts.
  • To key in all standard and ad-hoc general during closing time, Accounts Payables invoices, payments and to notify vendors upon remittance of payment and finally prepare monthly creditors reconciliations.
  • Process Accounts Receivable invoices, receipts and generate monthly Statement of Accounts. Follow up on the payments from Customers and update the weekly Status on Receivables. ...
Posted
13 days ago

KL City

  • Ensure timely and accurate execution of all General Ledger (GL) entries and monthly closing activities, maintaining the integrity of financial records.
  • Own the end-to-end intercompany accounting process, including monthly Service Level Agreement (SLA) charges and intercompany expense recharges, while reconciling Intercompany Balance Sheet (IC BS) and Intercompany Profit and Loss (IC PL) differences with counterparts within agreed timelines.
  • Post bank entries accurately and deliver timely month-end bank reconciliation to support financial completeness and control. ...
Posted
2 days ago

KL City

  • Bachelor’s Degree in Accounting, Finance, or related discipline.
  • Minimum 2 to 5 years of relevant experience in General Ledger (GL) or full set accounting.
  • Strong sense of responsibility and commitment. ...
Posted
6 days ago

Bestinet Sdn Bhd (Bestinet Malaysia)Official

KL City

  • Handle full set of General Ledger (GL) accounting activities.
  • Perform month-end and year-end closing activities.
  • Prepare and post journal entries and ensure proper account coding. ...
Posted
18 days ago

KL City

  • Ensure timely and accurate execution of all General Ledger (GL) entries and monthly closing activities, maintaining the integrity of financial records.
  • Own the end-to-end intercompany accounting process, including monthly Service Level Agreement (SLA) charges and intercompany expense recharges, while reconciling Intercompany Balance Sheet (IC BS) and Intercompany Profit and Loss (IC PL) differences with counterparts within agreed timelines.
  • Post bank entries accurately and deliver timely month-end bank reconciliation to support financial completeness and control. ...
Posted
11 days ago

KL City

  • Ensure timely and accurate execution of all General Ledger (GL) entries and monthly closing activities, maintaining the integrity of financial records.
  • Own the end-to-end intercompany accounting process, including monthly Service Level Agreement (SLA) charges and intercompany expense recharges, while reconciling Intercompany Balance Sheet (IC BS) and Intercompany Profit and Loss (IC PL) differences with counterparts within agreed timelines.
  • Post bank entries accurately and deliver timely month-end bank reconciliation to support financial completeness and control. ...
Posted
11 days ago

KL City

  • Ensure timely and accurate execution of all General Ledger (GL) entries and monthly closing activities, maintaining the integrity of financial records.
  • Own the end-to-end intercompany accounting process, including monthly Service Level Agreement (SLA) charges and intercompany expense recharges, while reconciling Intercompany Balance Sheet (IC BS) and Intercompany Profit and Loss (IC PL) differences with counterparts within agreed timelines.
  • Post bank entries accurately and deliver timely month-end bank reconciliation to support financial completeness and control. ...
Posted
11 days ago

KL City

  • Ensure timely and accurate execution of all General Ledger (GL) entries and monthly closing activities, maintaining the integrity of financial records.
  • Own the end-to-end intercompany accounting process, including monthly Service Level Agreement (SLA) charges and intercompany expense recharges, while reconciling Intercompany Balance Sheet (IC BS) and Intercompany Profit and Loss (IC PL) differences with counterparts within agreed timelines.
  • Post bank entries accurately and deliver timely month-end bank reconciliation to support financial completeness and control. ...
Posted
11 days ago

KL City

  • Ensure timely and accurate execution of all General Ledger (GL) entries and monthly closing activities, maintaining the integrity of financial records.
  • Own the end-to-end intercompany accounting process, including monthly Service Level Agreement (SLA) charges and intercompany expense recharges, while reconciling Intercompany Balance Sheet (IC BS) and Intercompany Profit and Loss (IC PL) differences with counterparts within agreed timelines.
  • Post bank entries accurately and deliver timely month-end bank reconciliation to support financial completeness and control. ...
Posted
11 days ago

KL City

  • Ensure timely and accurate execution of all General Ledger (GL) entries and monthly closing activities, maintaining the integrity of financial records.
  • Own the end-to-end intercompany accounting process, including monthly Service Level Agreement (SLA) charges and intercompany expense recharges, while reconciling Intercompany Balance Sheet (IC BS) and Intercompany Profit and Loss (IC PL) differences with counterparts within agreed timelines.
  • Post bank entries accurately and deliver timely month-end bank reconciliation to support financial completeness and control. ...
Posted
11 days ago

KL City

  • Ensure timely and accurate execution of all General Ledger (GL) entries and monthly closing activities, maintaining the integrity of financial records.
  • Own the end-to-end intercompany accounting process, including monthly Service Level Agreement (SLA) charges and intercompany expense recharges, while reconciling Intercompany Balance Sheet (IC BS) and Intercompany Profit and Loss (IC PL) differences with counterparts within agreed timelines.
  • Post bank entries accurately and deliver timely month-end bank reconciliation to support financial completeness and control. ...
Posted
11 days ago

KL City

  • Ensure timely and accurate execution of all General Ledger (GL) entries and monthly closing activities, maintaining the integrity of financial records.
  • Own the end-to-end intercompany accounting process, including monthly Service Level Agreement (SLA) charges and intercompany expense recharges, while reconciling Intercompany Balance Sheet (IC BS) and Intercompany Profit and Loss (IC PL) differences with counterparts within agreed timelines.
  • Post bank entries accurately and deliver timely month-end bank reconciliation to support financial completeness and control. ...
Posted
11 days ago

KL City

  • Active participation in the transition of Country GL processes into shared services team including work shadowing and Standard Operation Procedure (SOP) documentation preparations
  • Active contribution to ensure operation readiness by Go-Live date
  • Support internal audits by working closely with Local Finance team ...
Posted
4 days ago

KL City

  • Manage general ledger and fixed-asset accounting activities, including journal entries, accruals, provisions and adjustments.
  • Coordinate month-end closing and ensure accurate and timely completion of account reconciliations.
  • Review trial balances, financial reports, cost allocations and intercompany transactions. ...
Posted
4 days ago

KL City

  • Ensure timely and accurate execution of all General Ledger (GL) entries and monthly closing activities, maintaining the integrity of financial records.
  • Own the end-to-end intercompany accounting process, including monthly Service Level Agreement (SLA) charges and intercompany expense recharges, while reconciling Intercompany Balance Sheet (IC BS) and Intercompany Profit and Loss (IC PL) differences with counterparts within agreed timelines.
  • Post bank entries accurately and deliver timely month-end bank reconciliation to support financial completeness and control. ...
Posted
23 days ago

KL City

  • To assist in fixed assets and internal transaction. Preparation of monthly bank reconciliations for bank accounts.
  • To key in all standard and ad-hoc general during closing time, Accounts Payables invoices, payments and to notify vendors upon remittance of payment and finally prepare monthly creditors reconciliations.
  • Process Accounts Receivable invoices, receipts and generate monthly Statement of Accounts. Follow up on the payments from Customers and update the weekly Status on Receivables. ...
Posted
a month ago

KL City

  • Bachelor’s Degree in Accounting, Finance, or related discipline.
  • Minimum 2 to 5 years of relevant experience in General Ledger (GL) or full set accounting.
  • Strong sense of responsibility and commitment. ...
Posted
a month ago

KL City

  • Manage the full General Ledger (GL) function for multiple entities across various countries, ensuring accurate and timely financial reporting.
  • Lead month-end and year-end closing activities, including the preparation and posting of journal entries, accruals, provisions, and other necessary adjustments.
  • Oversee tax compliance matters, including direct and indirect tax filings, and coordinate closely with external tax advisors to ensure regulatory compliance across jurisdictions. ...
Posted
3 days ago

KL City

  • Ensure timely and accurate execution of all General Ledger (GL) entries and monthly closing activities, maintaining the integrity of financial records.
  • Own the end-to-end intercompany accounting process, including monthly Service Level Agreement (SLA) charges and intercompany expense recharges, while reconciling Intercompany Balance Sheet (IC BS) and Intercompany Profit and Loss (IC PL) differences with counterparts within agreed timelines.
  • Post bank entries accurately and deliver timely month-end bank reconciliation to support financial completeness and control. ...
Posted
a month ago

KL City

  • Manage the full General Ledger (GL) function for multiple entities across various countries, ensuring accurate and timely financial reporting.
  • Lead month-end and year-end closing activities, including the preparation and posting of journal entries, accruals, provisions, and other necessary adjustments.
  • Oversee tax compliance matters, including direct and indirect tax filings, and coordinate closely with external tax advisors to ensure regulatory compliance across jurisdictions. ...
Posted
17 days ago

KL City

  • Assist in the monthly account closing to ensure transactions are recorded accurately and on a timely basis in accordance with company policies and accounting standards.
  • Prepare and maintain supporting schedules for the preparation of monthly and annual financial reports.
  • Assist in the preparation of annual financial statements and supporting audit schedules. ...
Posted
a month ago

KL City

  • Ensure timely processing of accounting transactions with high accuracy
  • Review reconciliation and coordinate with relevant parties to investigate and resolve the differences/issues
  • Lead the discussion with Business/Operations, HQ finance, and Finance Operations team in setting up process flows, financial information and reports ...
Posted
a month ago

Rockwell Automation

KL City

  • Prepare and review corporate income tax returns to ensure compliance with regulatory requirements.
  • Prepare, review, and submit direct and indirect tax returns (e.g., CIT/SST/WHT) and ensure compliance with all statutory requirements.
  • Prepare and submit the e_invoice for Indonesia and self-billing for Malaysia ...
Posted
2 days ago

KL City

  • Manage day-to-day bookkeeping: AP, AR, general ledger, bank reconciliation, and month-end closing
  • Prepare monthly management accounts and reports for local management and regional HQ (Vietnam/Singapore)
  • Maintain proper accounting records in compliance with MPERS/MFRS as applicable ...
Posted
3 days ago

KL City

  • Strong technical accounting skills in areas such as general ledger accounting, financial reporting, and account reconciliation.
  • Proficiency in budgeting, forecasting, financial analysis, and cost control within a corporate or industrial environment.
  • Knowledge of local Malaysian accounting standards, tax regulations, and compliance requirements; experience with audit processes. ...
Posted
2 days ago

KL City

  • To support Record to Closing services in global business services (GBS)
  • To support payroll accounting task
  • To support GL month end closing ...
Posted
2 days ago

Rockwell Automation

KL City

  • Prepare and review corporate income tax returns to ensure compliance with regulatory requirements.
  • Prepare, review, and submit direct and indirect tax returns (e.g., CIT/SST/WHT) and ensure compliance with all statutory requirements.
  • Prepare and submit the e_invoice for Indonesia and self-billing for Malaysia ...
Posted
2 days ago