Ensure that all financial and accoun functions are properly administered and monitored.
Prepare and verify financial report for the Management , Monthly , quarterly and yearly.
Reviewing all reconciliations and ensuring they are followed-up on monthly
Have a comprehensive technical and functional understanding of all accounting processes in use and any relevant amendments or appendices,and of the client's structure and needed interfaces
Coordinate with other department to enable effective financial and store system.
Handle other assignments as assigned by the Management Team