81 Cost Accounting Jobs in Selangor - September 2026 - High Salaries

Showing 81 jobs results for "cost accounting" in Selangor
Never miss any updates for Cost Accounting jobs in Selangor
MYR3,800 - MYR5,500 Per Month
  • Prepare and file tax returns and related documentation accurately and timely, liaising with tax authorities as needed.
  • Manage accounts payable and receivable functions, ensuring timely processing of invoices and collections.
  • Reconcile bank statements and general ledger accounts, investigating and resolving discrepancies. ...
Financial Reporting Compliance Management
+10

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Posted
4 days ago
High Opportunity
MYR4,000 - MYR5,500 Per Month
Near Train Station
  • Compile and analyze product related costing and reporting.
  • Calculate finished goods (FG) standard cost for selling price.
  • Work closely with various sourcing departments to have BOM cost in time manner and accuracy. ...
Cost Control Costing
+2
Posted
a month ago
MYR8,000 - MYR12,000 Per Month
Near Train Station
  • Monitor cash flow and implement cost control measures
  • Support audit, tax, and compliance-related matters
  • Assist in process improvements and finance operations ...
Posted
4 days ago

Kuala Lumpur International Airport, Selangor

  • Develop short-, medium-, and long-term crew manpower plans in line with flight schedules, fleet expansion, route development, and business growth projections.
  • Monitor crew establishment levels to ensure sufficient availability of qualified flight and cabin crew.
  • Identify manpower gaps, attrition risks, and training pipeline requirements, proposing timely mitigation strategies. ...

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Posted
3 months ago
Undisclosed
Near Train Station
  • Handle payments and perform monthly reconciliation for bank, creditor, and inter-company balances.
  • Assist in preparing weekly and monthly reports.
  • Assist with E-Invoice compliance, documentation, and month-end reconciliation. ...
Accounting Software Responsible
+1
Posted
10 days ago
MYR6,000 - MYR10,000 monthly
Near Train Station
  • Monitor accounts receivable aging, cash flow, and budget performance.
  • Review trial balance, accounting entries, and reconciliation processes.
  • Manage AP, AR, GL, bank reconciliation, and intercompany transactions. ...

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Posted
a month ago
MYR4,000 - MYR6,000 Per Month
  • Maintain proper accounting records and coordinate with external auditors, tax agents, and company secretary.
  • Handle inventory valuation accounting, product costing, and system ledger reconciliations within the Warehouse/Inventory Module to ensure correct asset valuation (No physical warehouse management required).
  • Provide analytical financial support to reconcile data between production output and material costs to prevent financial leakage. ...
Financial Reporting Bookkeeping
+5
Posted
a month ago
MYR4,500 - MYR5,500 Per Month
Near Train Station
  • Review bank, interbank, sales, purchase, inventory and Cost of Goods Sold reconciliations.
  • Manage month-end and year-end closing and ensure all accounting adjustments are accurately recorded.
  • Prepare and finalise monthly management accounts, including Profit and Loss, Balance Sheet and Cash Flow Statement. ...
Financial Analysis Accounting
+6
Posted
a month ago
MYR3,500 - MYR4,200 Per Month
Near Train Station
  • Perform bank and interbank reconciliations and investigate unmatched or incorrectly classified transactions.
  • Reconcile sales, purchases, inventory movements and Cost of Goods Sold.
  • Manage month-end closing, including journal entries, accruals, prepayments and accounting adjustments. ...
Accounting Software Bookkeeping
+8
Posted
a month ago
MYR3,500 - MYR4,200 Per Month
Near Train Station
  • Perform bank and interbank reconciliations and investigate unmatched or incorrectly classified transactions.
  • Reconcile sales, purchases, inventory movements and Cost of Goods Sold.
  • Manage month-end closing, including journal entries, accruals, prepayments and accounting adjustments. ...
Accounting Software Bookkeeping
+8
Posted
a month ago
MYR4,500 - MYR5,500 Per Month
Near Train Station
  • Review bank, interbank, sales, purchase, inventory and Cost of Goods Sold reconciliations.
  • Manage month-end and year-end closing and ensure all accounting adjustments are accurately recorded.
  • Prepare and finalise monthly management accounts, including Profit and Loss, Balance Sheet and Cash Flow Statement. ...
Financial Analysis Accounting
+6
Posted
a month ago
MYR4,500 - MYR5,500 Per Month
Near Train Station
  • Review bank, interbank, sales, purchase, inventory and Cost of Goods Sold reconciliations.
  • Manage month-end and year-end closing and ensure all accounting adjustments are accurately recorded.
  • Prepare and finalise monthly management accounts, including Profit and Loss, Balance Sheet and Cash Flow Statement. ...
Financial Analysis Accounting
+6
Posted
a month ago
MYR6,000 - MYR10,000 Per Month
  • Expand labor dispatch channels to guarantee production workforce supply.
  • Optimize talent selection criteria, establish a talent pool, and enhance employer branding.
  • Improve employee management systems (attendance, rewards, promotions) and resolve labor disputes to mitigate employment risks. ...
Recruitment Performance Management
+3
Posted
a month ago
MYR6,000 - MYR10,000 Per Month
  • Expand labor dispatch channels to guarantee production workforce supply.
  • Optimize talent selection criteria, establish a talent pool, and enhance employer branding.
  • Improve employee management systems (attendance, rewards, promotions) and resolve labor disputes to mitigate employment risks. ...
Recruitment Performance Management
+3
Posted
a month ago
  • Establish and maintain strong working relationship with Local Services, other teams within the SSC and Center of Excellence
  • Ensure that closing timelines meet the Group Corporate requirements
  • Ensure all work instructions, standard operating procedures are complied. Review and escalate local specific variances to Key Accountant/Team Lead for further assessment and discussion ...
Posted
9 days ago
  • Establish and maintain strong working relationship with Local Services, other teams within the SSC and Center of Excellence
  • Ensure that closing timelines meet the Group Corporate requirements
  • Ensure all work instructions, standard operating procedures are complied. Review and escalate local specific variances to Key Accountant/Team Lead for further assessment and discussion ...
Posted
10 days ago
  • Establish and maintain strong working relationship with Local Services, other teams within the SSC and Center of Excellence
  • Ensure that closing timelines meet the Group Corporate requirements
  • Ensure all work instructions, standard operating procedures are complied. Review and escalate local specific variances to Key Accountant/Team Lead for further assessment and discussion ...
Posted
11 days ago
  • Establish and maintain strong working relationship with Local Services, other teams within the SSC and Center of Excellence
  • Ensure that closing timelines meet the Group Corporate requirements
  • Ensure all work instructions, standard operating procedures are complied. Review and escalate local specific variances to Key Accountant/Team Lead for further assessment and discussion ...
Posted
11 days ago
  • Establish and maintain strong working relationship with Local Services, other teams within the SSC and Center of Excellence
  • Ensure that closing timelines meet the Group Corporate requirements
  • Ensure all work instructions, standard operating procedures are complied. Review and escalate local specific variances to Key Accountant/Team Lead for further assessment and discussion ...
Posted
3 days ago
  • Establish and maintain strong working relationship with Local Services, other teams within the SSC and Center of Excellence
  • Ensure that closing timelines meet the Group Corporate requirements
  • Ensure all work instructions, standard operating procedures are complied. Review and escalate local specific variances to Key Accountant/Team Lead for further assessment and discussion ...
Posted
25 days ago

Ichor Systems Malaysia Sdn Bhd

  • Work with cross-fucntional teams to identify opportunities for cost optimization and process improvements.
  • Partner with the inventory team for accurate costing of inventory items and resolution of discrepancies.
  • Support standard cost roll and cycle inventory count ...
Posted
18 days ago

Ichor Systems, Inc.

  • Work with cross-fucntional teams to identify opportunities for cost optimization and process improvements.
  • Partner with the inventory team for accurate costing of inventory items and resolution of discrepancies.
  • Support standard cost roll and cycle inventory count ...
Posted
19 days ago

Legrand Malaysia

  • Manage monthly tax review (GST, SST, VAT, WHT and other applicable taxes) and ensure timely submission.
  • Prepare monthly reconciliations between local and IFRS accounts.
  • Prepare annual equity reconciliations and Country-by-Country reporting (tax-related). ...
Posted
20 days ago
  • Perform, check and consolidate reporting timely and accurately for submission
  • Prepare and maintain monthly and quarterly management reports and yearly statutory accounts timely and accurately
  • Submit quality and accurate ad-hoc requests from stakeholders/corporate/country. ...
Posted
11 days ago
Posted
17 days ago

Terumo Asia Pacific

  • Prepare monthly financial statements, management reports, and supporting schedules for review.
  • Perform balance sheet reconciliations and ensure all reconciling items are properly investigated and resolved promptly.
  • Reconcile bank accounts, intercompany balances, supplier accounts, and customer accounts regularly to ensure accuracy and completeness of financial records. ...
Posted
3 days ago
  • Coordinate year-end financial reporting, statutory audits, and regulatory compliance requirements.
  • Support tax matters, financial planning, budgeting exercises, and management reporting.
  • Drive process improvements, strengthen financial controls, and contribute to financial transformation initiatives. ...
Posted
3 days ago

Petaling

  • Review and reconcile accounts payable, accounts receivable, and general ledger entries.
  • Manage the preparation of company's budget and establish reasons for variances
  • Handle financial reporting, banking & treasury, tax, and government and statutory reporting. ...
Posted
6 days ago
  • Verification and reconciliation of Finished Goods and Gloves Inventory.
  • Performing ad-hoc adjustment in system.
  • Data verification and closing of physical stocks for material balancing. ...
Posted
6 days ago