RESPONSIBILITIES:
• Perform accountings records in AP module and ensure that sufficient supporting documentation is maintained and approved in line with company policy.
• Prepare check payment/wire transfer and relevant document.
• Prepare summary of VAT report and withholding tax, reconciliation with GL.
• Prepare journal entries to record prepaid / accrual for related transactions to ensure financial information presented in proper period as part of the monthly closing process.
• Prepare detailed account reconciliations (AP) and provide differences explanation and related adjustment.
• Analysis department expense and forecast budgeting expenses.
• Perform other related duties as required.