77 GL Accounting Jobs in Malaysia | Job Vacancies | June 2026 | Ricebowl

Showing 77 jobs results for "gl accounting"

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MYR800 - MYR1,200 Per Month
+Additional Compensation
Fresh Graduates
Near Train Station
  • Responsible, reliable, resourceful and trustworthy.
  • Able to work independently with minimum supervision.
  • Able to work under pressure. ...
Account Reconciliation Budgeting
+5
Posted
a month ago
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MYR2,500 - MYR4,000 monthly
  • Manage Treasury & General Ledger (GL) duties
  • Prepare full set of accounts and monthly reporting
  • Prepare payments, invoices, bank reconciliation, accounting schedules & supporting documents ...

Be an early applicant!

Posted
2 hours ago
MYR3,500 - MYR4,500 Per Month

Be an early applicant!

Posted
4 days ago
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MYR3,200 - MYR3,500 Per Month
  • · Maintain vendor master data and support vendor onboarding activities.
  • · Prepare and post monthly journal entries (e.g., accruals, prepayments, depreciation, intercompany, etc.).
  • · Review and reconcile balance sheet accounts to ensure accuracy and completeness. ...
Posted
2 hours ago
MYR2,500 - MYR4,000 Per Month
Near Train Station
  • Strong attention to detail and good analytical skills
  • Able to work independently and meet deadlines
  • Good communication and interpersonal skills ...
Account Receivable Account Payable
+1
Posted
18 days ago
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MYR3,500 - MYR4,500 Per Month
Near Train Station
  • Maintain accurate and organized financial records, including supporting documentation for all transactions.
  • Collaborate with internal and external auditors during financial audits.
  • Utilize accounting software to process transactions, generate reports, and maintain financial data integrity. ...
Posted
3 days ago
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MYR3,000 - MYR6,000 Per Month
  • * Perform bank reconciliations and reconcile supplier and customer accounts.
  • * Monitor production costs, material consumption, and manufacturing overhead expenses.
  • * Assist in month-end and year-end closing activities. ...
Accounts Payable (AP) Accounts Receivable (AR)
+16
Posted
a day ago
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MYR3,500 - MYR4,000 Per Month
  • Handle accounts payable and accounts receivable functions.
  • Monitor customer payments and follow up on outstanding accounts.
  • Assist in bank reconciliation and cash flow monitoring. ...
SQL Server Accounts Payable
+1
Posted
5 days ago
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MYR5,500 - MYR6,500 Per Month
Near Train Station
  • Monthly P&L Forecast Report
  • Assist in preparation of the company yearly budget
  • Prepares audit schedules for annual financial audit ...
Posted
a day ago
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MYR3,500 - MYR4,000 Per Month

Pekan Nanas, Johor

  • -Prepare monthly management accounts including Profit & Loss Statement, Balance Sheet, and supporting schedules
  • -Perform bank reconciliations, balance sheet reconciliations, and journal entries
  • -Prepare accruals, prepayments, depreciation, and fixed assets schedules ...
General Ledger Sales
+9
Posted
3 days ago
MYR800 - MYR1,000 Per Month

KL City, WP Kuala Lumpur

Near Train Station
  • Good communication and interpersonal skills.
  • Proficiency in MS Office, particularly Excel.
  • A fast learner with a positive attitude and a willingness to take on new challenges. ...
Good communication and interpersonal skills Proficiency in MS Office
+2

Be an early applicant!

Posted
4 days ago
Chat Available
MYR3,200 - MYR3,500 Per Month
  • · Maintain vendor master data and support vendor onboarding activities.
  • · Prepare and post monthly journal entries (e.g., accruals, prepayments, depreciation, intercompany, etc.).
  • · Review and reconcile balance sheet accounts to ensure accuracy and completeness. ...
Posted
18 days ago
Chat Available
MYR3,200 - MYR3,500 Per Month
  • · Maintain vendor master data and support vendor onboarding activities.
  • · Prepare and post monthly journal entries (e.g., accruals, prepayments, depreciation, intercompany, etc.).
  • · Review and reconcile balance sheet accounts to ensure accuracy and completeness. ...
Posted
18 days ago
Chat Available
MYR3,200 - MYR3,500 Per Month
  • · Maintain vendor master data and support vendor onboarding activities.
  • · Prepare and post monthly journal entries (e.g., accruals, prepayments, depreciation, intercompany, etc.).
  • · Review and reconcile balance sheet accounts to ensure accuracy and completeness. ...
Posted
18 days ago
Chat Available
MYR3,200 - MYR3,500 Per Month
  • · Maintain vendor master data and support vendor onboarding activities.
  • · Prepare and post monthly journal entries (e.g., accruals, prepayments, depreciation, intercompany, etc.).
  • · Review and reconcile balance sheet accounts to ensure accuracy and completeness. ...
Posted
18 days ago
MYR3,500 - MYR4,500 Per Month
Near Train Station
  • Maintain accurate and organized financial records, including supporting documentation for all transactions.
  • Collaborate with internal and external auditors during financial audits.
  • Utilize accounting software to process transactions, generate reports, and maintain financial data integrity. ...
Posted
a month ago
MYR3,500 - MYR4,000 Per Month
  • Handle accounts payable and accounts receivable functions.
  • Monitor customer payments and follow up on outstanding accounts.
  • Assist in bank reconciliation and cash flow monitoring. ...
SQL Server Accounts Payable
+1
Posted
a month ago
MYR3,500 - MYR4,000 Per Month
  • Handle accounts payable and accounts receivable functions.
  • Monitor customer payments and follow up on outstanding accounts.
  • Assist in bank reconciliation and cash flow monitoring. ...
SQL Server Accounts Payable
+1
Posted
a month ago
MYR3,500 - MYR4,000 Per Month
  • Handle accounts payable and accounts receivable functions.
  • Monitor customer payments and follow up on outstanding accounts.
  • Assist in bank reconciliation and cash flow monitoring. ...
SQL Server Accounts Payable
+1
Posted
a month ago
Undisclosed

KL City

Posted
11 days ago
Undisclosed

KL City

Posted
16 days ago
Undisclosed

KL City

  • Prepare balance sheet analysis and reconciliations on timely manner.
  • Responsible for Fixed asset ledger and asset accounting e.g. capitalization, disposal or transfer are properly recorded and according to group policy & guidelines for a high volume of asset management / more complexity of asset management process.
  • Review GRIR and ensure timely clearance, liaising with stake-holders to obtain missing information when necessary. ...
Posted
8 days ago
Undisclosed

KL City

  • Reconcile accounts and resolve discrepancies to maintain financial accuracy.
  • Assist in the preparation of monthly, quarterly, and annual financial reports.
  • Ensure compliance with accounting standards and internal policies. ...
Posted
5 days ago
Undisclosed

KL City

  • Prepare balance sheet analysis and reconciliations on timely manner.
  • Responsible for Fixed asset ledger and asset accounting e.g. capitalization, disposal or transfer are properly recorded and according to group policy & guidelines for a high volume of asset management / more complexity of asset management process.
  • Review GRIR and ensure timely clearance, liaising with stake-holders to obtain missing information when necessary. ...
Posted
14 days ago

Wilhelmsen Group

Undisclosed

KL City

  • Ensure timely and accurate month-end and year-end closing
  • Perform account reconciliations, analysis, and P&L / balance sheet reviews
  • Monitor cash flow forecasting with the Treasury team ...
Posted
7 days ago
Undisclosed

Malaysia

  • Analyze balance sheet accounts and investigate variances, ensuring timely resolution of outstanding issues.
  • Coordinate with internal stakeholders and finance teams to ensure smooth execution of accounting processes and reporting requirements.
  • Assist in the implementation and continuous improvement of accounting procedures, controls, and process standardization initiatives. ...
Posted
4 days ago
Undisclosed
  • Ensure compliance with accounting standards (e.g., MFRS/IFRS) and internal policies.
  • Analyze financial data and prepare various financial reports for management.
  • Collaborate with other departments to resolve accounting discrepancies and improve processes. ...
Posted
5 days ago

Wilh. Wilhelmsen Holding ASA

Undisclosed

KL City

  • Ensure timely and accurate month‑end and year‑end closing.
  • Perform account reconciliations, analysis, and P&L / balance sheet reviews.
  • Monitor cash flow forecasting with the Treasury team. ...
Posted
20 days ago
Undisclosed

Petaling

  • Lead and supervise the general ledger team, providing guidance and support. 2. Manage month-end and year-end closing processes, ensuring timely and accurate financial statements (for both internal and external audiences).
  • Oversee the preparation and review of journal entries, reconciliations, and supporting schedules. 4. Ensure compliance with accounting standards (e.g., MFRS/IFRS) and internal policies. 5. Analyze financial data and prepare various financial reports for management.
  • Collaborate with other departments to resolve accounting discrepancies and improve processes. 7. Assist in the preparation of budgets and forecasts. 8. Support internal and external audits, providing necessary documentation and explanations. ...
Posted
20 days ago

Wilhelmsen Group

Undisclosed

KL City

  • Ensure timely and accurate month-end and year-end closing
  • Perform account reconciliations, analysis, and P&L / balance sheet reviews
  • Monitor cash flow forecasting with the Treasury team ...
Posted
a month ago