
Account Assistant, CMS Roads Sdn Bhd
Salary undisclosed
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- Accurately record and update financial transactions, including accounts payable and receivable, general ledger entries, and bank reconciliations. - Prepare, process, and manage invoices, payment vouchers, and receipts. Ensure timely payments to suppliers and accurate billing to clients. - Assist in the preparation of monthly financial statements, management reports, and budget analyses. - Perform regular reconciliations of bank statements to ensure consistency and accuracy in financial records. - Provide administrative assistance to the finance department, including data entry, filing, and maintaining accurate documentation.