- Setia Alam Selangor Malaysia
工作地点
职位描述
岗位职责
The Finance Assistant (Reconciliation) is responsible for supporting daily accounting operations by ensuring all payments, receipts, and financial transactions are accurately recorded and reconciled. This role also involves verifying input documentation, investigating discrepancies, and providing administrative support to ensure smooth financial operations.
Key Responsibilities:
1. Reconcile Payments — Ensure that the accounting system accurately reflects all financial transactions and payment activities.
2. Issue Receipts — Prepare and issue receipts to customers upon receiving payments.
3. Process and Verify Documentation — Review, verify, and reconcile input documentation for completeness and accuracy.
4. Investigate and Resolve Irregularities — Identify, investigate, and resolve any discrepancies or accounting-related enquiries promptly.
5. Perform Financial Transactions — Handle daily accounting tasks including verifying, classifying, computing, posting, and recording data into the accounting system.
6. Provide Administrative Support — Perform general administrative and office duties to assist in the smooth operation of the finance department.
Pay: RM1,800.00 - RM2,000.00 per month
Benefits:
Ability to commute/relocate:
Application Question(s):
Education:
Work Location: In person
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