Finance & Accounting Supervisor - Kuala Lumpur

Kalbe Group

Kuala Lumpur

On-site

MYR 25,000 - 38,000

Full time

14 days+
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Job summary

Kalbe Malaysia Sdn., Bhd. is seeking a finance-oriented professional to assist in daily finance and accounting tasks within our Kuala Lumpur office. You will help resolve financial issues, maintain records, and ensure timely processing of transactions while supporting policy implementation and internal controls.

The role involves preparing financial reports, reconciling accounts, and providing administrative support to the finance and accounting department to maintain accurate financial records.

Qualifications

  • Assist in daily finance and accounting tasks.
  • Handle financial issues and provide solutions.
  • Support finance and accounting activities and maintain records.
  • Ensure timely and accurate processing of financial transactions.
  • Assist in the preparation of financial reports.
  • Support the implementation of financial policies and procedures.
  • Monitor and reconcile accounts to ensure accuracy.
  • Provide administrative support to the finance and accounting department.

Responsibilities

  • Assist in daily finance and accounting tasks.
  • Handle financial issues and provide solutions.
  • Support finance and accounting activities and maintain records.
  • Ensure timely and accurate processing of financial transactions.
  • Assist in the preparation of financial reports.
  • Support the implementation of financial policies and procedures.
  • Monitor and reconcile accounts to ensure accuracy.
  • Provide administrative support to the finance and accounting department.

Skills

Finance
Accounting
Financial reporting
Policy implementation
Record keeping
Reconciliation
Administrative support

Job description

Kalbe Malaysia Sdn., Bhd. is seeking a finance-oriented professional to assist in daily finance and accounting tasks within our Kuala Lumpur office. You will help resolve financial issues, maintain records, and ensure timely processing of transactions while supporting policy implementation and internal controls.

The role involves preparing financial reports, reconciling accounts, and providing administrative support to the finance and accounting department to maintain accurate financial records.

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