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ACCOUNTS EXECUTIVE (PAVILION KUALA LUMPUR)

Salary undisclosed

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RESPONSIBILITIES:

    -Prepare payments and petty cash -Update cash book and prepare monthly bank reconciliation -Data entries into system of AP, AR and GL -Prepare journal entries -Handle fixed assets register -Handle inventory module and perform regular stock take -Generate and prepare supporting notes for Financial Statements -Assist in tax computation -Prepare ad-hoc analysis and reports