- AP matching and processing, resolve discrepancies, monthly reconciliation of vendor statements.
- Responsible for all payment processing.
- Handle bank reconciliations and staff claims.
- Handle Treasury Function.
- Handle GST Reporting.
- Perform Monthly Closing and Reporting.
- Handle Fixed Asset Management.
- Assist in Corporate Tax.
- Any other duties assigned by the superior/ management from time to time.
Your Job Ref. No