Manage day to day financial and accounting operation including verify payable and credit control
· Verify or Issue Invoice, Tax Invoice & payment for approval
· Checking shipping document for payment
· Review accounting transactions record; payment, receipt and fixed asset
· Reconciling accounts
· Verify petty cash transactions
· Verify monthly and yearly tax filing such as PND 3 , PND 53 , PND 50 , PND 51 , PP. 30 and PP.36
· Support Inventory control and stock management
· Support monthly and yearly closing
· Coordinates with the company’s external auditor or Revenue Dept.