- Kuantan Pahang Malaysia
Working Location
Job Description
Responsibilities
1. To maintain and record the bank book transaction on daily basis
2. To prepare petty cash claim for reimbursement
3. To key Sales Transaction into Accounting System
4. To prepare commission payments
5. To prepare Payment Voucher for supplier payment & Fund Transfer to Global
6. To issue Debit Note for opening discount/trade discount/sponsorship/overcharge
7. To check and reconcile the Supplier Statement
8. To perform monthly bank reconciliation
9. To prepare Monthly Sales/Monthly Expenses/Interest Report or any other relevant reports
10. To prepare Company Vehicle Mileage & Petrol Usage Report
Job Types: Full-time, Permanent, Fresh graduate
Pay: RM1,700.00 - RM2,500.00 per month
Benefits:
Work Location: In person
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