- Nilai Negeri Sembilan Malaysia
Working Location
Job Description
Responsibilities
Handling full set of accounts, financial reporting and taxation, include Account Receivable, Account Payable , General Ledger , Profit & Lost
-prepare monthly account, quarterly and annual finance reports
- manage tenancy related billing, collection and deposit
- cash flow management, budgeting and forecasting
- handle office daily operation and admin task
- prepare bank reconciliation
Pay: RM3,500.00 - RM5,000.00 per month
Work Location: In person
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