Are you passionate about Artificial Intelligence, Machine Learning, and Robotics? We're looking for an experienced AI Engineer to join an innovative technology team developing intelligent solutions for autonomous systems.
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Collaborate with project managers, product owners, developers, testers, and other stakeholders to understand requirements and refine specifications for optimal outcomes.
Participate actively in code reviews to improve coding standards and foster a culture of technical excellence within the team.
Debug and troubleshoot issues in existing applications by applying analytical skills and attention to detail to resolve problems efficiently.
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Proven hands-on experience with one or more programming languages (Java & SpringBoot preferred), scripting language and CICD/DevOps tooling (GitLab, Terraform, EKS) using modern technologies.
Ability to take ownership, collaborate closely with cross-functional teams and communicate clearly in an agile environment.
Solid understanding of cloud security, resilience, and operational best practices.
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Nocoly is a Hong Kong-headquartered enterprise software company focused on no-code / low-code Hyper Application Platform (HAP). We help enterprises and partners build business applications, automate workflows, integrate systems, and improve digital operations.
We are expanding in Southeast Asia and building our partner ecosystem in Malaysia.
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Manage day-to-day bookkeeping, accounts receivable, and accounts payable to keep our financial records completely accurate and up to date.
Execute regular bank reconciliations and lead month-end closing activities, including the preparation of journals, to help our team deliver timely and accurate monthly reports.
Assist in preparing comprehensive financial statements and tax returns so that we can collectively remain compliant with standard local regulations.
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checking, verifying and processing invoices; preparing payments for signatures; analyzing discrepancies and unpaid invoices; and processing time sheets.
General support functions
handling entries for AP, AR, and GL; preparing bank reconciliation reports; assisting in month-end reporting procedures; utilising accounting data to resolve accounting problems and discrepancies; tracking and auditing petty cash; assisting with employee expense reports; filing and general administrative tasks; and liaising with other departments / customers / vendors.
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