preparation summary of agreement in order to support the payment
liaise with internal and external department in order to ensure working is the efficient and accurate
prepare recording for the withdrawal / clear reimbursement for employee's expense both domestic and foreign comply with the company policy
recording for payment deduct salary of permanence staff by payroll system
analysis the tax transaction to ensure accurate alignment with code of The Revenue Department
preparation monthly closing of financial records and month end information to ensure the accuracy of financial statement
coordinate with users on accounts payable accounting to ensure that they are accurate and alignment between actual budget utilization and budget plan
reconcile and preparation the relevant account code of accounts payable status report and analysis
involved agencies for FNA's rule and regulation
coordinate with relevant work process of accounts payable include proposed guidelines with internal and external parties
Recheck purchase requisition from purchasing process in order to ensure accuracy and alignment with accounting standard and company polices
To verify ans report transaction in order to used in the preparation of financial statment
submission to the relevant department
other tasks as assigned