200+ Junior Accountant Jobs in Kuala Lumpur - August 2026 - High Salaries

显示240个工作的结果 "junior accountant" Kuala Lumpur
不要错过任何 Junior Accountant 的新工作机会 在 Kuala Lumpur
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
15 days ago
Undisclosed

KL City

  • 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.
  • Maintain efficiency and accuracy, ensuring a high level of client service is provided at all times ...
Posted
15 days ago
Undisclosed

KL City

  • 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.
  • Maintain efficiency and accuracy, ensuring a high level of client service is provided at all times ...
Posted
15 days ago

Management Sdn Bhd

MYR9,000 - MYR13,000 每月

KL City

  • Track and report project cost changes, risks, and variances, while recommending corrective actions where required.
  • Prepare accurate monthly cost reports, forecasts, and financial analysis for project stakeholders.
  • Support contingency planning and cost control strategies to improve project performance. ...
Posted
16 days ago
Undisclosed

KL City

  • Responsible for month end closing, and ensuring that closing is completed within the stipulated deadline
  • Prepare meaningful and good quality analysis on the financial statement
  • Ensure accounting standards, tax requirements, company policies and procedures are being adhered to at all times ...
Posted
2 days ago
Undisclosed

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
8 days ago
Undisclosed

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
8 days ago
Undisclosed

KL City

  • Act as escalation point for junior AR team members on operational and customer‑related matters.
  • Lead collection activities for assigned customer portfolios, including direct follow‑ups via email and calls.
  • Communicate with Japan customers and stakeholders in Japanese where required, ensuring clear and timely resolution of AR matters. ...
Posted
9 days ago
Undisclosed

KL City

  • Ensure consistency of PSC reporting with accounting books, budget and JV records
  • Ensure proper JV partners’ cost shareability per JOA, recording cash call and accurate over/under JV positions as per Joint Interest Billing.
  • Collaborate with JV partners, regulators, and internal stakeholders to resolve queries, support reporting requirements, and maintain PSC compliance. ...
Posted
10 days ago

Flowserve Solutions (Malaysia) SDN BHD

Undisclosed

KL City

  • Processing month end journals accruals/prepayments/recharges
  • Fixed Asset accounting
  • Reconcile month end bookings ...
Posted
22 days ago
Undisclosed

KL City

  • Offer specialized tax advice on assignment structures, leveraging tax treaties, and identifying tax-efficient benefits.
  • Educate and counsel employees on their tax responsibilities and the potential implications of international assignments.
  • Provide guidance on tax equalization and protection policies to employees, ensuring clear understanding and compliance. ...
Posted
23 days ago
Undisclosed

KL City

  • Sales and margin analysis
  • Processing month end journals accruals/prepayments/recharges
  • Fixed Asset accounting ...
Posted
23 days ago
Undisclosed

KL City

  • Sales and margin analysis
  • Processing month end journals accruals/prepayments/recharges
  • Fixed Asset accounting ...
Posted
23 days ago

Flowserve Solutions (Malaysia) SDN BHD

Undisclosed

KL City

  • Processing month end journals accruals/prepayments/recharges
  • Fixed Asset accounting
  • Reconcile month end bookings ...
Posted
23 days ago
Undisclosed

KL City

  • Travel Retail (Hermes, Bvlgari, The Flying Emporium, Coach, Polo Ralph Lauren,
  • Lacoste, Beaute Love, Ion Gizmos, Candy Party, Wear + When, Tumi)
  • F&B (Bacha CoƯee, Quivo, Godiva, TWG Tea, Laderach, Candy Party) ...
Posted
18 days ago
MYR5,500 - MYR5,500 每月

KL City

  • Maintain and organize financial records and documentation.
  • Assist in preparing reports for management, auditors, and regulatory agencies.
  • Liaise with clients regarding accounts and documents issues. ...
Posted
2 days ago
Undisclosed

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
8 days ago
Undisclosed

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
8 days ago
Undisclosed

KL City

  • Review monthly financial results with assigned rig teams and provide variance memos/schedules.
  • Ensure that assigned day-to-day operations are carried out in accordance with established policies, objectives and budget.
  • Heavy participation in the budgeting/roll-on forecast processes. ...
Posted
25 days ago
Undisclosed

KL City

  • Assist with enhancing internal regulatory documents, polices and EUC’s.
  • Lead and assist with projects across teams related to identifying and enhancing controls / streamline existing processes accompanied with documentation.
  • Assist in creating and ensuring the team adheres to Regulatory Reporting internal policies. ...
Posted
14 days ago
Undisclosed

KL City

  • Liaise with external auditors and tax agents by providing required documentation and information.
  • Perform bank reconciliations, intercompany reconciliations, and other balance sheet reconciliations on a regular basis.
  • Assist in monitoring and maintaining general ledger accounts to ensure accuracy and completeness. ...
Posted
a month ago

MODEC Offshore Production Systems (Singapore) / Offshore Frontier Solutions

Undisclosed

Malaysia

  • Collections of Receivables
  • Coaching
  • Work Process Improvements ...
Posted
22 days ago
Undisclosed

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
23 days ago
Undisclosed

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
23 days ago
Undisclosed

KL City

  • Maintain General Ledger accounts and ensure financial data accuracy.
  • Prepare journal entries, accruals, prepayments, and fixed asset accounting.
  • Perform balance sheet, account, and intercompany reconciliations. ...
Posted
a month 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
a month 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
a month 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
a month ago
Undisclosed

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
Undisclosed

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
23 days ago