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- ...timeliness Requirements Higher Diploma holder or above Min. 1 year of working experience in business, sales or accounting services Proficient in computer application including PowerPoint, MS word & Excel Proficient in Chinese and English typing ...
- Responsibilities · Able to handle full set of accounts · Responsible for day-to-day AR, AP, journal voucher preparation, expenses ... ...n Convenience (near MTR station) ~ Staff Purchase Discount ~ Bank Holidays ~ Annual Leave ~ Guaranteed Bonus ~ Medical Insu...
- ...nnity, Kwun Tong (5 mins walk from Ngau Tau Kok MTR station) Job Description Responsible for day-to-day accounts payable, accounts receivable & bank reconciliation Perform routine accounting functions Assist in month-end closing, prepare vouchers Assis...
- ... phone call answering, courier documents distribution) Handle Accounts Receivable and Accounts Payable (Prepare and input vouchers) ... ...th-end closing activities and management reports. e.g.: perform bank reconciliation Support ad-hoc projects / tasks as assigned. ...
- Responsible for daily accounting duties, A/P, A/R, bank activities, voucher preparation and prepare payments Month-end closing including preparation of monthly schedules Perform general clerical support and maintain good filing system Perform ad-hoc tasks as ...
- Responsibilities: Review daily journal entries for Account Receivables. Prepare bank reconciliation and quarterly sub-ledger reconciliation. Handle receipt reconciliation & monthly analysis for all payment channels. Liaise with business units on monitoring ...
- ... in preparing monthly analysis reports. · Perform full set of accounts independently, including payable, receivable, accounting entrie... ...Immediately available will be an advantage Benefits: · Bank Holiday · Lunch Provided · Salary negotiable subject to qua...
- Responsibilities: Assist in accounts receivable related duties Assist in accounts payable related duties Handle application a... ...angement of payment Maintain fixed asset register Prepare bank reconciliation Calculate sales commission Prepare support...
- We are seeking a detail-oriented and experienced Accountant to manage our financial records and ensure compliance with regulations. The i... ... timely payments and collections. Conduct reconciliations of bank statements and other financial accounts. Assist in budget pr...
- ...ue by verifying and entering transactions into the SAP system. Verify the validity of account discrepancies by investigating with the sales team and customers. Reconcile bank statements by comparing statements with the general ledger. Assist in the daily manag...
- ...Work closely with shared service center teams in Kuala Lumpur on daily accounting operations Perform general daily accounting duties, e.g. cheque preparation, cashier order, etc. Follow up bank reconciliation items with operations Facilitate the month-end closi...
- Job Responsibilities: Perform daily accounting duties including data entry, prepare vouchers and filing Assist in handle payment s... ...aff expense claims Perform some outdoor works such as cheque bank-in and mailing Assist in some administrative support Perf...
- Responsibilities • Handle daily accounting duties including A/P & A/R, payment checking, vouchers preparation and bank reconciliation • Assist in the month-end closing & financial reporting • Assist in year-end audit and stock taking • Assist in ad hoc task as...
- ...form post-scanning physical document management. Liaise with Accounts Payable teams in the hub to identify documents that need to be ... ... Liaise with Finance team to collect all incoming and outcoming bank documents. Print voucher and match original supporting docum...
- Responsibility ~ Handle full set of account including but not limited to AR, AP, bank reconciliation, inter-company reconciliation, cash flow, reporting etc. ~ Assist in the preparation of forecasts and annual budgets ~ Prepare monthly report and financial stat...
- Perform daily accounting operations including data entry, accounts payable & receivable, vouchers, and cheque payments Job Description... ...rge, and preform inter-co billing charge if necessary Handle bank book / bank reconciliation / vendor statement of account reconc...
- ...above position Major responsibilities: · Perform daily accounting functions · Perform inter-companies transactions and accounts... ... arrange for payment either though checks and remittance at the bank · Help to liaise with the accounting and sales department of ...
- 工作職責 Job Responsibilities: Responsible for daily accounting works Process Accounts Receivable and Accounts Payable, preparing vouchers... ...rovide clerical support, such as data entry and filing; Monthly bank reconciliation; Perform ad hoc assignments as required Requirem...
- Job Duties - Perform daily accounting duties, including preparing accounting entries, debit/credit note, receipt and payment transactions, etc. - Handle data entries in accounting system and document filing - Maintain and update financial records - Prepare full set ...
- ...ck and verify systems transactions (POS, discounts, staff meals) Able to handle full set of accounts for multi-restaurants Handle cheque payment, petty cash, process bank transfer and check daily bank balance Check and ensure that all the internal transfer by o...