Jawatan Kosong Account Assistant
Job Description : 1. Perform daily general accounting duties such as data entry and filing of documents. 2. Prepare journal voucher and payment voucher. 3.
Jawatan Kosong Account Assistant April 2025. There are 66 Kerja Kosong Account Assistant in and related to Jawatan Kosong Account Assistant, Jobs for Account Assistant, Account Assistant Job Openings, Account Assistant Job Vacancies, Account Assistant Job Opportunities at Jawatan Kosong 2025. Find your desired Kerja Kosong Account Assistant below.
Job Description : 1. Perform daily general accounting duties such as data entry and filing of documents. 2. Prepare journal voucher and payment voucher. 3.
Responsibilities Update accounts receivable, payable and perform reconciliations. Preparing and issuing invoices, statements and reports to client. Update and compile company expenses including utilities bill.
Qualification/Requirement: Candidate must possess at least Higher Secondary/STPM/"A" Level/Pre-U or LCCI or Diploma/Advanced/Higher/Graduate Diploma in Accounting or equivalent. At least 2 Year(s) of working experience
Job Responsibilities: Responsible for monthly payroll processing Involved in the preparation and posting of journal/ voucher and invoice checking To receive and process all invoices,
RECORDING FINANCIAL TRASACTIONS, MAINTAINING ACCURATE LEDGERS, AND ENSURING ALL FINANCIAL RECORDS ARE UP-TO-DATE INPUTTING FINANCIAL DATA INTO ACCOUNTING SOFTWARE OR SPREADSHEETS WITH A HIGH LEVEL
Working Location Shipco Transport Sdn Bhd - Penang Unit 10.02, 10th Floor, Wisma Leader, No. 8, Jalan Larut,1050 Georgetown Penang, Job Description Update Bank book-MAYBANK
RESPONSIBILITIES: * Handle daily accounting and administration functions. * Prepare and ensure all statutory payments are paid timely and accurately. * To issue invoices, credit
Account Assistant (AP) Working Hour (Monday – Friday 8.00am-5.00pm) require to OT if urgent work need to be done on the same day Salary negotiable
Responsible for handling accounting functions including filing, maintaining and updating account records, accurately entering transaction details into the system, preparing vouchers and cheques, providing administrative
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