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NEXEA Venture Capital & Angel Investment Network Hiring! Internship Accounting (Immediate Intake) in Selangor - Ricebowl

Internship Accounting (Immediate Intake)

NEXEA Venture Capital & Angel Investment Network

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Working Location

  • Subang Jaya Selangor Malaysia

Job Description

Requirements

What We’re Looking For

  • Background in Finance, Accounting, or a related field 
  • Preferably final-year students, but all candidates are welcome 
  • Basic understanding of accounting principles 
  • Interest in Accounts Receivable, bookkeeping, and financial operations 
  • Strong attention to detail with good organisational skills 
  • Proactive, motivated, reliable, and eager to learn 
  • Knowledge of accounting software is an added advantage 
  • Preferably available for a full 6-month internship, with a minimum commitment of 4 months

Learning Outcomes

  • Hands-on exposure to the full accounting cycle 
  • Practical understanding of SME accounting operations 
  • Experience in Accounts Receivable processes, including invoicing, payment tracking, and reconciliation 
  • Improved proficiency in accounting systems and Excel 
  • Exposure to real-world financial reporting and compliance 

Perks & Benefits

Hybrid working arrangement, 3 days office / 2 days WFH
Flexible working hours: 10:00 AM – 7:00 PM, with early leave at 4:00 PM on office days
Training and learning opportunities provided
Monthly office activities
Paid internship
Fun, open, and supportive office culture

Responsibilities

Looking to kick-start your accounting career? If you’re detail-oriented, eager to learn, and ready for real hands-on experience, we’d love to have you on our team.

As an Accounting Intern, you’ll support the Finance team in maintaining accurate financial records, assisting with daily accounting tasks, and gaining hands-on exposure to the Accounts Receivable (AR) process, including invoicing, payment tracking, and reconciliation.

Responsibilities

  • Create and issue invoices to customers 
  • Assist in tracking customer payments and outstanding balances 
  • Support Accounts Receivable follow-ups and payment updates 
  • Perform bank reconciliations and match incoming transactions 
  • Assist with daily bookkeeping and accounting entries 
  • Maintain organised accounting records and filing 
  • Support the Finance team with ad-hoc accounting and administrative tasks 

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