: Prepare journal voucher, data entry as well as to prepare draft accounts for monthly closing Perform accounts reconciliation and advice on journal entries for ledger posting Prepare payment and ensure reconciliation are done to meet month end closing Ensure monthly reconciliation of trust accounts are prepared on timely basis Provide assistance and support accounts staff in carrying out the daily accounting functions Liaise with auditors and assist in managing the audit process To undertake ad-hoc assignments or duties assigned by management when required Job Requirements: Minimum qualification of Bachelor Degree in Accounting / Finance Prefer 2-3 years\xe2\x80\x99 experience in the related field Relevant accounting experience in a plantation industry and/or audit experience from a recognized audit firm Ability to work independently with good interpersonal skill and self-motivated Familiar with online banking system Knowledge in plantation accounting software will be an added advantage
Agriculture & Plantation Industry
Bachelor\'s or Equivalent
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