Sql Accounting Software Jobs in Kajang - September 2026 - Urgent Hiring

Showing 7 jobs results for "sql accounting software" in Kajang
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MYR4,000 - MYR6,000 Per Month
+Additional Compensation
Near Train Station
  • • Independently handle and maintain a full set of accounts, including Accounts Payable, Accounts Receivable, General Ledger and bank reconciliation.
  • • Perform monthly, quarterly and year-end closing accurately and within the required deadlines.
  • • Prepare monthly financial statements and management reports, including Profit & Loss, Balance Sheet, Cash Flow, Debtor Aging and Creditor Aging reports. ...
Financial Reporting Tax Preparation
+13

Be an early applicant!

Posted
a month ago
MYR4,000 - MYR6,000 Per Month
+Additional Compensation
Near Train Station
  • • Independently handle and maintain a full set of accounts, including Accounts Payable, Accounts Receivable, General Ledger and bank reconciliation.
  • • Perform monthly, quarterly and year-end closing accurately and within the required deadlines.
  • • Prepare monthly financial statements and management reports, including Profit & Loss, Balance Sheet, Cash Flow, Debtor Aging and Creditor Aging reports. ...
Financial Reporting Tax Preparation
+13

Be an early applicant!

Posted
a month ago
MYR4,000 - MYR6,000 Per Month
+Additional Compensation
Near Train Station
  • • Independently handle and maintain a full set of accounts, including Accounts Payable, Accounts Receivable, General Ledger and bank reconciliation.
  • • Perform monthly, quarterly and year-end closing accurately and within the required deadlines.
  • • Prepare monthly financial statements and management reports, including Profit & Loss, Balance Sheet, Cash Flow, Debtor Aging and Creditor Aging reports. ...
Financial Reporting Tax Preparation
+13

Be an early applicant!

Posted
a month ago
MYR4,000 - MYR6,000 Per Month
+Additional Compensation
Near Train Station
  • • Independently handle and maintain a full set of accounts, including Accounts Payable, Accounts Receivable, General Ledger and bank reconciliation.
  • • Perform monthly, quarterly and year-end closing accurately and within the required deadlines.
  • • Prepare monthly financial statements and management reports, including Profit & Loss, Balance Sheet, Cash Flow, Debtor Aging and Creditor Aging reports. ...
Financial Reporting Tax Preparation
+13

Be an early applicant!

Posted
a month ago
MYR3,500 - MYR4,500 Per Month
+Additional Compensation
Near Train Station
  • Responsible for the company's daily bookkeeping, including the registration and reconciliation of Accounts Receivable (AR), Accounts Payable (AP), and General Ledger (GL).
  • Review various expense reimbursement documents, supplier invoices, and payment applications to ensure that the vouchers are legal, compliant, and accurate.
  • Responsible for bank reconciliation, regularly reconciling bank statements with accounting records to ensure that funds match the actual balance. ...
Finance Accounts Payable
+8

Be an early applicant!

Posted
a month ago
MYR3,500 - MYR4,500 Per Month
+Additional Compensation
Near Train Station
  • Responsible for the company's daily bookkeeping, including the registration and reconciliation of Accounts Receivable (AR), Accounts Payable (AP), and General Ledger (GL).
  • Review various expense reimbursement documents, supplier invoices, and payment applications to ensure that the vouchers are legal, compliant, and accurate.
  • Responsible for bank reconciliation, regularly reconciling bank statements with accounting records to ensure that funds match the actual balance. ...
Finance Accounts Payable
+8
Posted
a month ago
MYR3,500 - MYR4,500 Per Month
+Additional Compensation
Near Train Station
  • Responsible for the company's daily bookkeeping, including the registration and reconciliation of Accounts Receivable (AR), Accounts Payable (AP), and General Ledger (GL).
  • Review various expense reimbursement documents, supplier invoices, and payment applications to ensure that the vouchers are legal, compliant, and accurate.
  • Responsible for bank reconciliation, regularly reconciling bank statements with accounting records to ensure that funds match the actual balance. ...
Finance Accounts Payable
+8

Be an early applicant!

Posted
a month ago