Main Responsibilities:
- Enter data to GL and produce vouchers package.(PV,RV,JV)
- Prepare Cheques and payment vouchers
- Manage petty cash at Country office
- Assist the accountant in coordinating with banks, financial institutes and the revenue Department
- Responsible for the accuracy and punctuality of fund transfers via bank accounts
- Monthly prepare reconciliation : deposit; lease payment; withholding Tax; registers of advances;
- Supporting documents required for payments and liquidation reports
- Assist the accountant in preparing financial report and in reviewing documents as requested
- Monthly prepare withholding Tax report to submit to revenue department.
- Perform tasks assigned by his/her supervisor and team