-Handle full set of account AR / AP -Prepare statutory financial accounts in compliance
-Handle control and reconciliations of sub-ledgers and other balance sheet items
-Verify and prepare payments to suppliers, vendors, staff claims, petty cash reimbursements
-Handle banking matters – deposit cheques, bank statement reconciliation, cash flow statement etc.
-Calculate VAT, WHT and any other relevant taxes, and manage the tax filing within statutory deadlines
Provide the necessary comment AR aging for overdue.
Handle goods issue local stock.
Perform related duties as assigned by supervisor
Maintain compliance with all company policies and procedures
-Handle full set of account AR / AP -Prepare statutory financial accounts in compliance-Handle control and reconciliations of sub-ledgers and other balance sheet items-Verify and prepare payments to suppliers, vendors, staff claims, petty cash reimbursements -Handle banking matters – deposit cheques, bank statement reconciliation, cash flow statement etc.-Calculate VAT, WHT and any other relevant taxes, and manage the tax filing within statutory deadlinesProvide the necessary comment AR aging for overdue.Handle goods issue local stock.Perform related duties as assigned by supervisorMaintain compliance with all company policies and procedures
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