Expense Management: Assist in tracking and categorizing company expenses, verifying expense reports, and ensuring compliance with company policies.
Assisting in Month-End and Year-End Closing Activities: Support the accounting team in preparing financial statements, conducting account analysis, and other tasks related to the month-end and year-end closing processes.
Assisting with Audits: Provide documentation and support during internal and external audits as needed.
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Expense Management: Assist in tracking and categorizing company expenses, verifying expense reports, and ensuring compliance with company policies.
Assisting in Month-End and Year-End Closing Activities: Support the accounting team in preparing financial statements, conducting account analysis, and other tasks related to the month-end and year-end closing processes.
Assisting with Audits: Provide documentation and support during internal and external audits as needed.
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To prepare bank reconciliation and monitor daily bank balances.
Liaise with banker for overseas transfer
Handling duties such as prepare payment voucher, processing claims, petty cash, bank bulk transaction, make payment via online banking, issuing invoices and receipts
Expense Management: Assist in tracking and categorizing company expenses, verifying expense reports, and ensuring compliance with company policies.
Assisting in Month-End and Year-End Closing Activities: Support the accounting team in preparing financial statements, conducting account analysis, and other tasks related to the month-end and year-end closing processes.
Assisting with Audits: Provide documentation and support during internal and external audits as needed.
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