Accounting Internship
Core
Update bank balances, reconcile bank statements, and process expense claims and journal entries for Prudential's treasury and accounting functions.
Role type
Accounting Intern
Builds
Accurate financial records and bank reconciliations for the treasury team
Domain
Financial Services / Accounting
Deliverable
dashboards & analysis
Required skills
Bank reconciliation, expense claim processing, journal entry preparation, data entry, financial reporting
Preferred skills
Knowledge of Syariah banking concepts, familiarity with general ledger systems
Technologies
ISYSZ02, CDB, HBHS, PAYB, SCB, BSI, Permata
Responsibilities
Update ending bank balances, reconcile bank investments and charges, process statutory claims, settle general transfers, prepare UTR journals
Seniority
Intern
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