Assist and coordinate with Financial Accounting Manager to manage and support finance operation of the company.
· Work closely with the Financial Accounting Manager to establish proper settlement & revenue procedures.
· Deliver financial accounting, control, analysis, reports, and ensure regulatory compliance by maintaining a robust financial control environment.
· Prepare weekly Cash Out-Flow Forecast reports to manage cash out of the company.
· Liaise with all local and international banks for any issues of customer payments
· Liaise and managing all local and international vendors to support efficiently the company’s operation.
· Finalize and submit daily/monthly/quarterly/annual reports required by the management in a timely manner
· Ensure to maximize the company’s benefit in term of payments to vendors especially managing efficiently the company’s cash flow
· Record and reconcile all payables/fixed assets and relevant accounting transactions into general ledgers & sub ledgers.
· Make sure all payment vouchers and accounting documents are properly created, signed and filed
· Review the recording of revenue and receivables into the accounting system; make sure all accounting documents are properly created, signed and filed.
· Perform other tasks assigned by Financial Accounting Manager