A. Accounts Payable* - Checking vendor invoices, ensuring invoices have cash sales no., job order no., vehicles plate no., selling price, and void error billing/wrong calculation.
- Reconciliation of vendor statements with vendor invoices.
- Liaising with the cashier or supplier to confirm if the amount is not the same as the vendor statement.
- To meet the deadline in preparing payment on 10th, 20th, 30th of every month.
- Preparing other ad hoc payments; petty cash, utility bills etc and ensuring the correct GL codes are keyed in.
B. Accounts Receivable* - Checking cash sales, bank-in slip, credit card slip etc with Daily Sales Report.
- Data entry bank-in/credit card slip, internal settlement etc.
- Monthly Bank Reconciliation.
C. Journal Entry* - Accrued expenses for individual outlets telephone and mobile phone bills, Indah Water, electricity and water bills, and any other relevant expenses, such as petty cash.
D. Outlet's payment* - Issue monthly loan installment, electricity and water bills etc.
E. Tax Audit* - Assist in preparation of audit schedules, furrnishing details/documentation.
Package
Working Location: USJ10, Subang Jaya
Working hours: 9:00am to 6:00pm [Monday to Friday]
Kindly PM your resume/CV
Job Type: Full-time
Pay: RM2,600.00 - RM3,000.00 per month
Benefits:
Gym membership
Opportunities for promotion
Professional development
Application Question(s):
What's accounting account software would you know?
Education:
Diploma/Advanced Diploma (Required)
Experience:
Accounting: 2 years (Required)
Expected Start Date: 12/15/2025
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