1. Record AP, AR, Fixed Assets transaction in Microsoft Dynamic AX on daily basic.
2. Verify supporting documents which are accuracy and completeness
3. Coordinate with other departments to solve issue on transaction
4. Maintain / Follow-up on the long outstanding invoices.
5. Enter journal entries and inter-company transactions
6. Prepare month end reconciliation as assigned
7. Prepare and submit withholding tax report and Vat report by monthly