-
Prepare financial status and transection report, including a profit and loss statement, and other necessary reports,
-
Accounting duties and Reconcile Bank supporting junior staff as required,
-
Check and verify Account Receivable, Account Payable, and cash flows,
-
Review and monitor Purchase Orders and stock monthly reports, leasing revenue/invoice Vs payment,
-
Data and prepare monthly documents to tax for monthly declaration,
-
Update Fixed assets and calculate monthly Patent, License, Annual Enterprise Renewal,
-
Staff coaching and training to team,