Responsible for accounts payable, accounts receivable, journal entries, cash equivalents, sales and other G/L accounts.
Reconciliation of bank and other GL accounts.
Record, tag and physical check over fixed assets.
Prepare monthly financial reports and other special reports
Collect all related information for preparation of monthly tax returns, i.e. Withholding tax, VAT, etc.
Coordinating with the team and any related departments.
Handle general administrative functions and other duties as assigned by Manager.