There are 6 Jobs in Kirindo Sdn Bhd to Choose
Responsible for timely closing of accounts and preparation of accounts schedules including A/P, A/R, General LedgerMaintain day to day cash book, bank reconciliation and cashflow managementResponsible for the preparation of financial statements, statutory accounts and perform analysis of accountsLiaise with external auditors and corporate secretaryMonitor project prog ...
Responsible for timely closing of accounts and preparation of accounts schedules including A/P, A/R, General LedgerMaintain day to day cash book, bank reconciliation and cashflow managementResponsible for the preparation of financial statements, statutory accounts and perform analysis of accountsLiaise with external auditors and corporate secretaryMonitor project prog ...
Responsible for timely closing of accounts and preparation of accounts schedules including A/P, A/R, General LedgerMaintain day to day cash book, bank reconciliation and cashflow managementResponsible for the preparation of financial statements, statutory accounts and perform analysis of accountsLiaise with external auditors and corporate secretaryMonitor project prog ...
Responsible for timely closing of accounts and preparation of accounts schedules including A/P, A/R, General LedgerMaintain day to day cash book, bank reconciliation and cashflow managementResponsible for the preparation of financial statements, statutory accounts and perform analysis of accountsLiaise with external auditors and corporate secretaryMonitor project prog ...
Responsible for timely closing of accounts and preparation of accounts schedules including A/P, A/R, General LedgerMaintain day to day cash book, bank reconciliation and cashflow managementResponsible for the preparation of financial statements, statutory accounts and perform analysis of accountsLiaise with external auditors and corporate secretaryMonitor project prog ...
Responsible for timely closing of accounts and preparation of accounts schedules including A/P, A/R, General LedgerMaintain day to day cash book, bank reconciliation and cashflow managementResponsible for the preparation of financial statements, statutory accounts and perform analysis of accountsLiaise with external auditors and corporate secretaryMonitor project prog ...