Handling full set of accounts
Involves in day to day management of all payment cycle activities in a timely and efficient manner.
Provide timely and accurate financial information to enables the company to function effectively.
Liaise with internal and external auditors and government bodies to prepare the necessary finance documents.
Bank, Cashflow, payables reconciliation, pass recurring, update of account listing and etc.
Prepare routine and ad hoc accounting / journal for posting into accounting system.
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Account Executive • Petaling Jaya, Malaysia