Job Description:
Being responsible for Goods Receipt Accounting, A/P and AR
Be responsible for Cheque Accounting/ Invoice Clearing, expense booking, Bank Reconciliation
Preparing Letter of Credit – Opening, collection, and payment
Being responsible for Forex Rate Fix with Bank as per Hedging policy
Preparing COGS/ Inventory Cost Validation
Preparing month end provision entries
Preparing assets capitalization and depreciation calculation
Handling Daily cash flow preparation