Prepare Management Account
To complete monthly account closing procedures including period end depreciation journals, month end revaluation and control account balances reconciliation.
To prepare tax computation and tax projection reports.
To handle special assignments as required by Financial Controller, Directors & Group Accounts on ad hoc basis.
To assist in implementation and smooth running of the accounting system.
To monitor vessel and company closing at month end
To clear advance and reimbursement
To issue Debit Notes
Check General Ledger
Monitor AR aging report