Track and monitor to ensure that all competed payment files are submitted to Treasury & Cash Management to proceed payment process with accuracy and in timely manner
Lead and manage team to prepare payment related reports (e.g. tax payment, staffs’ advance payment)
Review and provide guidance to ensure the accuracy and timeliness of payment related reports
Ensure that the payment related reports are submitted to relevant departments according to the timeline and the requests
Check and define the requirements for tax payment (e.g. withholding tax, duty stamp, special business tax, double tax agreement), according to the rules and regulatory
Provide advice and guidance in preparing and submitting all tax payment documents to Revenue Department for tax payment process