Job Details:
Process AP and Cash Transactions in compliance with accepted accounting standards and tax compliance.
Process payments to intercompanies, external vendors and staff reimbursements.
Prepare monthly reconciliation of Petty cash, Bank balance and Taxes.
Follow up and resolve past due vendor invoices.
Submit monthly Vat (PP36, PP30) and withholding tax (PND3, PND53, PND54).
Review and coach junior to ensure the accuracy and proper recording of account payable.
Collect and update information to support cash-flow forecast on monthly basis.
Organize and maintain all document files.
Liaise with Revenue Department for Tax matters.
Liaise with External Auditor for all related account payables.
Liaise with Bank officer for all bank transactions.
Process all fixed asset transactions in order to ensure the accuracy of accounting record. Taking care of fixed asset register and assign serial number of fixed assets.