• Verify the correctness of settlement transactions for Visa, Master, Ready Credit and Diners such as AR, AP and Online Payment
• Responsible for preparation monthly reports and submit to Visa, Master Card and Diners
• Ensure reconciliation of balance sheet accounts comply with accounting and financial obligations.
• Review the correctness of reconciliation and examining the supporting evidences of the figures presented.
• Perform the analytical review for the significant changes among the accounts, identifies inconsistencies in recording transaction and formulates recommendation on policies, procedure or practices.
• Communicate with the internal client and recommend appropriate solution to the finding issues including follow-up adjusted entries
correctness of settlement transactions, reconciliation and analyst for examining the supporting evidences of the figures presented