37 Accounting Specialist Jobs in Kuala Lumpur - August 2026 - High Salaries

Showing 37 jobs results for "accounting specialist" in Kuala Lumpur
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MYR2,800 - MYR4,000 Per Month
Fresh Graduates

Bandar Kuala Lumpur, WP Kuala Lumpur

Near Train Station
  • Learn our tools and workflows (Xero and the platforms we use) as your primary toolkit. Run the processes and own the output.
  • Own the review-and-judgment layer on 2 to 3 clients: take prepared close work, verify it, and turn it into a report a founder will actually read.
  • Run your first independent month-end review under QC. ...
Accounting Software Bookkeeping
+9
Posted
2 days ago
Undisclosed

KL City

  • You will assist in the recording of the movement of inventory in the accounting system
  • You will be responsible for the preparation of bank, credit card and intercompany reconciliations and investigate on unreconciled items
  • You will assist in the monitoring of customers’ account balances for non-payments, delayed payments and other irregularities ...
Posted
19 days ago
Undisclosed

KL City

  • You will assist in the recording of the movement of inventory in the accounting system
  • You will be responsible for the preparation of bank, credit card and intercompany reconciliations and investigate on unreconciled items
  • You will assist in the monitoring of customers’ account balances for non-payments, delayed payments and other irregularities ...
Posted
12 days ago
Undisclosed

KL City

  • Ensure compliance with tax, accounting, and payroll requirements.
  • Support relationships with auditors, banks, and external consultants.
  • Prepare periodic management repots Cash flow (cash in and cash out) reporting ...
Posted
3 days ago
Undisclosed

KL City

  • Participate in internal audits and support external audit requests related to tax accounting.
  • Identify areas for process improvements and help implement best practices in tax operations.
  • Maintain documentation and records in accordance with company policies and regulatory requirements. ...
Posted
20 days ago
Undisclosed

KL City

  • Build, learn, and grow with Surrshi as we expand our outlets across Malaysia.
  • Job Responsibilities
  • Track daily sales, expenses, and company finances. ...
Posted
a month ago
MYR6,000 - MYR7,000 Per Month
WFH

KL City

  • Ensure tracking and timely completion of assign task in Reconsmart or other applications.
  • Perform other closing and reporting task as may assign by the team lead.
  • Detects and signals flaws in approaches, methods, procedures and processes and suggests improvements. ...
Posted
12 days ago
MYR6,000 - MYR7,000 Per Month
WFH

KL City

  • Ensure tracking and timely completion of assign task in Reconsmart or other applications.
  • Perform other closing and reporting task as may assign by the team lead.
  • Detects and signals flaws in approaches, methods, procedures and processes and suggests improvements. ...
Posted
12 days ago
Undisclosed

KL City

  • Provide mentorship and guidance to Associates, while overseeing the quality and timeliness of their deliverables
  • Ensure compliance with applicable accounting standards, policies, procedures, and internal controls. Support internal and external audits, as well as statutory and regulatory filings
  • Serve as the primary point of contact for clients on routine accounting matters ...
Posted
19 days ago
Undisclosed

KL City

  • Provide mentorship and guidance to Associates, while overseeing the quality and timeliness of their deliverables.
  • Ensure compliance with applicable accounting standards, policies, procedures, and internal controls. Support internal and external audits, as well as statutory and regulatory filings.
  • Serve as the primary point of contact for clients on routine accounting matters. ...
Posted
25 days ago
Undisclosed

KL City

  • Act as the escalation SME for complex asset accounting exceptions related to incorrect postings, mismatches, missing documentation, or unclear account balances; perform root-cause analysis and implement corrective actions
  • Identify and monitor (recurring) issues, perform root cause analysis and work with the process management team on the remediation or improvement to prevent recurrence
  • Escalate structural issues, risks, and recurring defects to the appropriate channels ...
Posted
4 days ago
Undisclosed

KL City

  • Identify and monitor (recurring) issues, perform root cause analysis and work with the process management team on the remediation or improvement to prevent recurrence
  • Escalate structural issues, risks, and recurring defects to the appropriate channels
  • Contribute as SME to standardization and continuous improvement of B2C Asset Accounting processes and procedures ...
Posted
4 days ago
Undisclosed

KL City

Posted
13 days ago
Undisclosed

KL City

  • Participate in internal audits and support external audit requests related to tax accounting.
  • Identify areas for process improvements and help implement best practices in tax operations.
  • Maintain documentation and records in accordance with company policies and regulatory requirements. ...
Posted
13 days ago
Undisclosed

KL City

  • Ensure the accuracy of financial postings, support documents, reconciliations, and closing steps, ensuring alignment with closing calendars and reporting deadlines
  • Resolve complex escalations related to incorrect postings, mismatches, missing documentation, or unclear account balances, performing root-cause analysis and implementing corrective actions
  • Identify and monitor (recurring) issues, perform root cause analysis and work with the process management team on the remediation or improvement to prevent recurrence ...
Posted
4 days ago
Undisclosed

KL City

  • Resolve complex escalations related to incorrect postings, mismatches, missing documentation, or unclear account balances, performing root-cause analysis and implementing corrective actions
  • Identify and monitor (recurring) issues, perform root cause analysis and work with the process management team on the remediation or improvement to prevent recurrence
  • Escalate structural issues, risks, and recurring defects to the appropriate channels ...
Posted
4 days ago
Undisclosed

KL City

  • Gold Winner for Excellence in Workplace Culture (2021)
  • Comprehensive medical, dental, optical and insurance benefits
  • Flexi working hours arrangements ...
Posted
4 days ago
Undisclosed

KL City

  • Reporting directly to the Regional Managing Director, ASEAN, this individual will lead the Accounting Services business across Malaysia, Singapore and Indonesia. This is a senior regional leadership position with full accountability for strategy, commercial performance, service quality, client relationships and the continued development of a sizeable multi-country accounting practice.
  • Key responsibilities:
  • • Develop and execute the regional strategy for Accounting Services across Malaysia, Singapore and Indonesia ...
Posted
5 days ago
Undisclosed

KL City

  • Gold Winner for Excellence in Workplace Culture (2021)
  • Comprehensive medical, dental, optical and insurance benefits
  • Flexi working hours arrangements ...
Posted
a month ago

PRGX International Pte Ltd

MYR2,500 - MYR3,200 Per Month

KL City

  • Candidate should possess at least a Professional Certificate, Under Graduate Degree, Diploma or equivalent are encouraged to apply
  • Fresh grads are welcomed, remuneration will commensurate with experience
  • Good initiative and detail-oriented ...
Posted
2 days ago
Undisclosed

KL City

  • Support the revenue recognition process in compliance with accounting standards (e.g. SFRS 15 / IFRS 15)
  • Liaise with business development, operations, and finance teams on billing and collections
  • Assist in budgeting and forecasting exercises related to revenue ...
Posted
19 hours ago
Undisclosed

KL City

  • Support MedAire management towards achieving KPI and strategic objectives.
  • Good knowledge of fundamental accounting concepts, practices and procedures.
  • Knowledge of General Ledger and month-end close processes. ...
Posted
3 days ago
Undisclosed

KL City

  • Support compliance activities such as timesheet validation, capital drawdown tracking, and funding allocation follow-ups
  • Assist in periodic reporting requirements (e.g., capital expenditure surveys)
  • WIP & Capital Spend Monitoring ...
Posted
9 days ago
Undisclosed

KL City

  • To create construction in progress assets, transfer the assets upon investment completion and assist in other Fixed Assets related tasks.
  • To work with local finance team for monthly closing schedule and ensure Accounts are closed on a timely basis.
  • To make adjustment postings for payroll and accrual/ provision postings for expenses. ...
Posted
15 days ago
Undisclosed

KL City

  • Maintain accurate records of portfolio transactions in the portfolio management system and relevant spreadsheets.
  • Manage data entry and filing for proper record-keeping.
  • Assist in updating daily fund prices on various avenues, ie: website. ...
Posted
16 days ago
Undisclosed

KL City

  • Intercompany Management: Monitor and reconcile intercompany balances to ensure transactions are accurately recorded and aligned across entities. Work closely with local finance teams to investigate and resolve mismatches. Process intercompany netting in Coupa Bellin in compliance with company policies, tax regulations, and Standard Operating Procedures (SOPs), while meeting SLA/KPI targets set by management and agreed with local offices.
  • Bank Reconciliation: Monitor and reconcile bank statements, promptly identifying and resolving discrepancies. Escalate unreconciled or aged items, liaising with banks and internal teams on payment/receipting issues for resolution or confirmation of appropriate treatment. Ensure compliance with company policies, internal controls, and reporting requirements.
  • Data Insight: Analyze and interpret financial data related to bank transactions, treasury activities, and intercompany accounts, providing insights and recommendations to management. ...
Posted
17 days ago
Undisclosed

KL City

  • Intercompany Management: Monitor and reconcile intercompany balances to ensure transactions are accurately recorded and aligned across entities. Work closely with local finance teams to investigate and resolve mismatches. Process intercompany netting in Coupa Bellin in compliance with company policies, tax regulations, and Standard Operating Procedures (SOPs), while meeting SLA/KPI targets set by management and agreed with local offices.
  • Bank Reconciliation: Monitor and reconcile bank statements, promptly identifying and resolving discrepancies. Escalate unreconciled or aged items, liaising with banks and internal teams on payment/receipting issues for resolution or confirmation of appropriate treatment. Ensure compliance with company policies, internal controls, and reporting requirements.
  • Data Insight: Analyze and interpret financial data related to bank transactions, treasury activities, and intercompany accounts, providing insights and recommendations to management. ...
Posted
17 days ago
Undisclosed

KL City

  • Intercompany Management: Monitor and reconcile intercompany balances to ensure transactions are accurately recorded and aligned across entities. Work closely with local finance teams to investigate and resolve mismatches. Process intercompany netting in Coupa Bellin in compliance with company policies, tax regulations, and Standard Operating Procedures (SOPs), while meeting SLA/KPI targets set by management and agreed with local offices.
  • Bank Reconciliation: Monitor and reconcile bank statements, promptly identifying and resolving discrepancies. Escalate unreconciled or aged items, liaising with banks and internal teams on payment/receipting issues for resolution or confirmation of appropriate treatment. Ensure compliance with company policies, internal controls, and reporting requirements.
  • Data Insight: Analyze and interpret financial data related to bank transactions, treasury activities, and intercompany accounts, providing insights and recommendations to management. ...
Posted
17 days ago
Undisclosed

KL City

  • To prepare commentary and address any abnormalities of the monthly expenses and/or accruals.
  • To compile and verify all the necessary documents for intercompany transactions.
  • To allocate the intercompany transaction expense and issue billing together with Statement of Account to the respective company on monthly basis. ...
Posted
3 days ago
Undisclosed

KL City

  • Create the funds/clients in the appropriate systems based on the offering documents and best practices.
  • For conversions, catch-up, system reinitialization and system reconfiguration, setup and load the latest fund NAV and share registry information to the applicable systems.
  • Leverage data analysis and visualization tools to review NAV and Share registry data and resolve discrepancies. ...
Posted
16 days ago