500+ Accouting Jobs in Federal Territory - October 2026 - High Salaries

Showing 594 jobs results for "accouting" in Federal Territory
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KL City

  • Ensure accounting records and reporting are prepared in accordance with IFRS / group accounting policies, including reconciling differences against local statutory standards where applicable.
  • Prepare monthly management reports, sales channel reporting, and budget vs. actual variance analysis.
  • Support SST/GST/E-Invoicing compliance and coordinate with auditors and tax agents on statutory matters. ...
Posted
a month ago
  • Prepares & monitor Balance Sheet Reconciliation
  • Perform monthly GL account keeping actions relating to all the Balance Sheet & Profit & Loss
  • Handle the accounting treatment of payroll expenses ...
Posted
7 days ago

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
5 days ago

KL City

  • Assist in the audit process and assist in the preparation of financial statements.
  • Ensure all deliverables and client queries are met as stipulated in the SLA
  • Ensure all processes are performed in accordance with operational controls as stipulated in SOC1 and all relevant checklists are completed. ...
Posted
22 days ago

KL City

  • Assist in the audit process and assist in the preparation of financial statements.
  • Ensure all deliverables and client queries are met as stipulated in the SLA
  • Ensure all processes are performed in accordance with operational controls as stipulated in SOC1 and all relevant checklists are completed. ...
Posted
22 days ago

KL City

  • Monitor cash flow, working capital, and treasury activities, including cash flow forecasting, funding requirements, and timely supplier payments.
  • Bachelor's Degree in Accounting, Finance, or a related discipline.
  • Professional qualification such as ACCA, CIMA, ICAEW, MICPA, or equivalent is highly preferred. ...
Posted
8 days ago

KL City

Posted
a month ago

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
a month ago

KL City

  • Ensure compliance with IFRS/US GAAP reporting requirements and internal accounting policies
  • Coordinate with external auditors, tax agents, and corporate secretaries across jurisdictions
  • Support corporate tax filings and statutory compliance activities ...
Posted
a month ago

Taman Wilayah Selayang

  • Supervisors & Managers should demonstrate effective safety leadership for the health and safety arrangements of all subordinates and for any persons visiting them while on the Company premises
  • Strong hands-on OneSource experience.
  • Strong computer technical skills - MS Excel. ...
Posted
a month ago

KL City

  • - Prepare and issue customer invoices accurately and in a timely manner.
  • - Verify billing information and supporting documents before processing invoices.
  • - Prepare and maintain credit notes, debit notes, and other billing-related documents. ...
Posted
a month ago

KL City

  • Perform month-end closings, general ledger account analysis and Balance Sheet account reconciliations, prepare SOX controls
  • Continuous contact with vendors, customers regarding fixed asset issues
  • Assist with the resolution of any issues that could impact the timely month-end closing ...
Posted
22 days ago

KL City

  • Coordinate with regional stakeholders and headquarters on financial reporting, compliance, and governance matters.
  • Deliver accounting and tax advisory services to clients on cross-border business activities.
  • Support various regional business initiatives and projects as required. ...
Posted
24 days ago

KL City

  • Design and implement financial reporting processes tailored to each client’s reporting requirements.
  • Respond promptly to client queries and requests, ensuring high-quality service and support
  • Fresh graduate of Bachelor's degree in Accountancy or Business or equivalent e.g Diploma holder in Accountancy or Business with 1 year working experience. ...
Posted
a month ago

KL City

  • To do basic work for audit and tax
  • Training will be provided for all task assigned
  • Pay: RM800.00 - RM1,000.00 per month ...
Posted
a month ago

KL City

  • Maintain good relationships with internal & external stakeholders, especially in dealing with business inquiries & providing problems solving solution in a timely and effective manner.
  • Monthly perform balance sheet analysis and identify any risk area to the management team and provide solution to help to improve long ageing Balance sheet item.
  • Candidate must possess at least a Bachelor’s Degree in Finance/Accountancy/Banking or equivalent. Fresh graduates are encouraged to apply. ...
Posted
16 days ago

KL City

  • Work independently and meet deadlines with minimal supervision.
  • Bachelor’s degree in accounting and finance (or equivalent)
  • Professional accounting qualification (CPA/ACCA or equivalent) ...
Posted
18 days ago

KL City

  • Spearhead client proposals and RFPs, developing bold, innovative solutions to expand our market presence
  • Mentor and inspire junior team members, fostering their growth while managing senior stakeholders’ expectations with confidence
  • Navigate the complex regulatory landscape in Malaysia, leveraging your expertise in prudential risks (credit, liquidity, counterparty credit, IRRBB, and market risk) to deliver exceptional results ...
Posted
9 days ago

KL City

  • Process and validate employee expense claims with attention to detail and compliance.
  • Apply correct VAT/GST treatment to all A/P transactions and stay up to date with regulatory changes.
  • Reconcile A/P accounts and handle transaction settlements to ensure accurate balances. ...
Posted
a month ago

KL City

  • Prepare statutory financial statements.
  • Coordinate and liaise with clients on day-to-day accounting matters and queries.
  • Manage client deliverables to ensure agreed timelines are met. ...
Posted
a month ago

KL City

  • Support in RFQ / RFP submission.
  • Lead and coordinate the monthly, quarterly, and year-end financial close process.
  • Prepare and review journal entries, accruals, prepayments, provisions, and balance sheet reconciliations. ...
Posted
a month ago

KL City

  • Supervise the day-to-day activities of all accounting staff including assisting them when necessary to stay current.
  • Prepare the Profit & Loss accounts on timely manner.
  • Prepare the accounts on timely manner and submit to FSAP as per deadline. Liaise with external auditors on audit and tax requirements. ...
Posted
a month ago

KL City

  • Perform bank reconciliations daily, or at minimum every two days.
  • Keep supporting documents filed and in order so they stand up to review and audit.
  • Work with the team on monthly reporting and year end audit preparation. ...
Posted
a month ago

KL City

Posted
a month ago

KL City

  • Trial balances and general ledgers.
  • Cash and investment portfolio reconciliation.
  • Expenses accruals (Fund-related expenses, Fund Administration fees, Management fees, etc). ...
Posted
a month ago

KL City

Posted
19 days ago

KL City

  • Ensure timely filing of annual financial statements and statutory reports with relevant authorities.
  • Review and validate statutory disclosures, notes to accounts, and cash flow statements.
  • Ensure compliance with local legal and regulatory reporting requirements. ...
Posted
19 days ago

KL City

  • Management Reporting: Prepare monthly management reporting packages, financial variance analyses, and key operational metrics to assist finance management in strategic decision-making.
  • Bank & Payment Gateway Reconciliations: Perform high-frequency reconciliations of all bank operating accounts, credit card settlement portals, merchant accounts, and foreign currency accounts, systematically resolving unallocated entries, timing differences, and bank fees.
  • Sub-Ledger to General Ledger Reconciliations: Execute monthly reconciliations connecting sub-ledgers (AP aging, AR aging, Inventory, Fixed Assets) to General Ledger control accounts to guarantee total cross-module data integrity. ...
Posted
13 days ago

KL City

  • Big 4 audit experience preferred
  • Prior experience in financial accounting & reporting
  • Working knowledge of corporate tax in Malaysia and Singapore desirable ...
Posted
20 days ago

KL City

  • Work independently and meet deadlines with minimal supervision.
  • Bachelor’s degree in accounting and finance (or equivalent)
  • Professional accounting qualification (CPA/ACCA or equivalent) ...
Posted
20 days ago