2. To received postage from security about tax invoice , Receipt , Bank document to check and record received document in excel file.
3. To check invoice biomass document and check in GRIR on SAP system for biomass and pack biomass in SAP system.
4. To check invoice document and check in GRIR on SAP system for export expense received from P’Pui and pack in SAP system and send to P’Tid to prepare payment vouchers.
5. Prepare progress claim for new project and list document sent to store to issue for easy to check document back to Finance Dept to post invoice and issue payment.
6. Prepare application for money transfer for vender send to driver transfer at bank.