Handling the day–to–day operations related to account payable transactions.
• Issuing withholding tax certificates and record payment vouchers.
• Reviewing input tax report with invoices monthly.
• Preparing for account reconciliation with analysis.
• Ensuring timely payments of supplier invoices.
• Coordinating with the related departments to make the payment process smoothly.
• Liaison with external parties i.e. auditors, customers, and suppliers
• Managing Accounting job and comply with company’s policies/Accounting standard.
• Supporting financial information as per request from Management