Maintains and balances subsidiary accounts by verifying, allocating,
posting, reconciling transactions; resolving discrepancies.
- Summarizes financial status by collecting information; preparing balance
sheet, profit and loss, and other statements.
- Reconcile collection Cash & Credit Card from Point of sales
- Reconcile Bank / GL and related transaction with AR e.g. Output VAT report
- Recording collection entries and related transaction in GL
- Control and summary the daily documentation from Shop
- Avoids legal challenges by complying with legal requirements.
- Legal process for new shop : P.P.06 / sign tax
- Contract management
- Process the stock take at shop and summary the result to Cost Accountant &
Accounting Mgr.
- Control and summary the sales transaction through counter, website, consignment
and Franchise
- Manage and prepare the related report for Flormar Brand
- Fixed asset control
- Invoicing & Issuing a credit note
Report to : Accounting Manager