? Assist Finance Manager to review, compile and analyze financial information
? Prepare entries to accounts such as general ledger accounts and document business transactions.
? Establish, maintain and coordinate the implementation of accounting control procedures.
? Prepare and review budget, revenue, expense, invoices and other accounting documents.
? Resolve accounting discrepancies and interact with internal and external auditors in completing audits.
? Send out SOA to customers.
? Do Bank Reconciliation.
? Any other duties as assigned by Finance Manager.
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