Handling and Controlling English documents for invoice.
Internet banking payment and checking for bank reconcile.
Cash flow and forecasting.
A/R Collection, aging, record and reconcile.
A/P payment, Petty cash and GL record and control.
Daily Monitoring of all accounting activities.
Prepare monthly, quarterly, and annual financial statements for individual entities and group consolidation in accordance. Reconcile and do details of all account for financial report.
Prepare statutorily of financial statement of BS and work closely with auditors and external parties on financial and accounting issue.
Training/supervise team member concerning Company’s accounting procedures and policies.
Establish and implement internal controls, procedures and best practices expected of a world class accounting/finance department
Involve and lead financial projects as and when assigned
Handling stock and Inventory
Self-motivated, able to work independently as well as a dynamic team player and able to work under pressure.