and Responsibilities:
1.Responsible for full sets of accounts.
2. Fixed assets, cost costing, journals, bank reconciliation, balance sheet reconciliation & intercompany reconciliation.
3. To assist in Accounts Payable and Accounts Receivable activities for the assigned vendors, distributors and customers.
4. Liaising with third party book keepers.
5. To assist in inventory count with the vendors and inventory reconciliation. To review and report on the monthly Foreign Subsidiaries Financial submission and internal audit.
6. Financial Planning &Analysis, Credit assessment, Revenue testing
7. Responsible to supervise and monitoring the closing group of companies financial statements on monthly basis
8. Any other duties and other assignment assigned
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