Handle Account Payable Transaction and related Transaction (i.e. Retention, Guarantee)
• Coordinate with procurement department to maintain adequate documentation for Account Payable Transaction
• Responsible for staff’s Reimbursement
• Record Accrual cost of Project
• Handle Fixed Assets’ Registration and Depreciation
• Physical check Fixed Assets at office and site
• Prepare input VAT report for P.P. 30
• Reconcile input VAT for VAT Refundable
• Prepare report and update relevant transaction in order to support month end closing
• Other admin works as assigned from time to time by the company
• Other duties as assigned