- Johor Johor Bahru Johor Malaysia
Lokasi Kerja
Penerangan Kerja
Tanggungjawab
Location: Senai
Responsibilities:
Handle full set account and prepare monthly audit schedule.
Bank reconciliation, monitor daily bank transaction and accuracy.
Handling and review AR & AP transaction.
Prepare monthly journal entries and reconciliation general ledger.
Prepare and process payments.
Liaise with external auditor, bankers or other authorities.
Requirements:
Diploma, Degree, ACCA, or CAT in Accounting, Finance, or a related field.
Candidates with relevant working experience will have an added advantage.
Good command of Bahasa Malaysia and English (both written and spoken).
Proficient in Microsoft Excel and Microsoft Word.
Responsible, organized, and able to meet deadlines.
Able to work independently as well as in a team.
Positive attitude and willing to learn.
Peringatan Penting
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