- Puchong New Village Puchong Selangor Malaysia

Working Location
Job Description
Responsibilities
• SQL Account Management: Execute daily bookkeeping functions directly within the SQL Account ecosystem, maintaining an accurate and up-to-date general ledger.
• Data Entry & Invoicing: Utilize SQL Batch Transaction Entry to efficiently input multiple supplier invoices and generate client billings.
• Bank Reconciliation: Perform routine automated bank reconciliations within the software to ensure ledger accuracy.
• Accounts Payable & Receivable: Track aging reports, follow up on outstanding customer payments, and coordinate vendor payments.
• Financial Reporting: Assist in extracting standard business reports from SQL Account, including Trial Balance, Profit & Loss, and Balance Sheet statements.
• Compliance Support: Assist with regional tax submissions and ensure correct data mapping within the system.
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