
Job Description
1. Â Reconciliation of accounts in a timely manner (Debtor/Creditor and etc.).
2. Â Ensure payment voucher is match to the supporting documents (PO, DO, INV) and the payment amount is correct.
3. Â Prepare billing to customers.
4. Â Posting billing in accounting software.
5. Â Filing all finance documentation.
6. Â Handle despatch for banking documents/any other documents.
7. Â To run reports as required.
8. Â Involve in monthly stocktaking.
9. Â Involve in assets tagging and sighting.
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