Accounts Executive
– Maintain General Ledger, Cash Book, Accounts Payable and Accounts Receivable.
– Daily banking matters and updating daily bank balances.
– Issuing of Invoices, Debit notes, Credit notes and miscellaneous billings and official receipts.
– Prepare and process payments to trade payable i.e issue of cheques and payment vouchers and verification of accounts transactions.
– Reconcile monthly bank statements and statements of accounts of trade payable and receivable.
– Preparation of monthly journals, accruals and prepayments.
– Liaise with banks, auditors and tax agent as and when required.
– Daily banking matters and updating daily bank balances.
– Issuing of Invoices, Debit notes, Credit notes and miscellaneous billings and official receipts.
– Prepare and process payments to trade payable i.e issue of cheques and payment vouchers and verification of accounts transactions.
– Reconcile monthly bank statements and statements of accounts of trade payable and receivable.
– Preparation of monthly journals, accruals and prepayments.
– Liaise with banks, auditors and tax agent as and when required.
Job Requirements:-
-Candidate must possess at least SPM education level.
-Prefer candidate who has experience in monthly GST submission.
-Candidate who has experience in full sets account is an added advantage.
**Fresh graduates are encouraged to apply!!!
Estimated salary range : RM2K – RM 3.5K (base on relevant working experience)
Interested applicants are advised to submit resumes to email address:
atd@akashi.my
OR
Upload your resume to : http://job.akashi.my
For more information please call : 016-208 1619
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