1. To ensure the accurate and timely management of all account related transactions such that all accounting entries can be taken up properly in the accounts of the Company. 2. To maintain an effective communication between internal and external parties. 3. Issue invoices, process employee monthly claim reimbursement and monitor bank statement. 4. Maintain the accounts file by filing all the relevant documents properly. 5. Generate and compile daily/monthly report from the accounts system before any submission. 6. Update the Company fixed assets. 7. Liaise with banking related matters. 8. Assist in month end closing. 9. Any other ad-hoc duties as and when assigned by the Management. 10. Manage Petty Cash claims & reconciliation. Job Type: Full-time Salary: RM3,500.00 - RM4,200.00 per month Benefits:
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