|
-
Support to develop policies and procedures relevant to
Accounting Division
-
Verify accounting voucher, ensure proper document are enclosed
in compliance with regulation and company policy
-
Review Bank, Cash reconciliation -
Monitor, reconcile monthly Account Receivable, Account
Payable, Other AR/AP
-
Review Costing Sheet
-
Assist Chief Accountant in closing process
-
Review Tax declaration: monthly VAT, Foreign Contractor Tax,
etc.
-
Other task assigned by Chief Accountant
|