To handle all accounting transactions and tax matters at Plant
• To record fixed asset into accounting system and asset registration, including control asset running ID number
• To handle finance activities such as petty cash, payment and collection
• Prepare all monthly relevant reconciliation of accounts in an accurate and timely manner
• Update Standard cost by uploading into the system
• Ensuring all accounting procedures comply with accounting standards and company policies
• Coordinating annual physical inventory and fixed asset counts