Role and Responsibilities
1. Handle accounts payable and related financial transactions.
(1) Validate the completeness and accuracy of transactions by ensuring that all transactions are authorized, comply with prevailing policies and supporting documents are in order.
(2) Ensure timely and accurate posting of transactions in accordance with documented processes and accounting standards.
(3) Review staffs' claims and ensure T&E policies compliance.
2. Process payments to vendors and employees.
3. Handle intercompany transactions and reconciliation
4. Handle inventory related booking and monitoring stock level
5. VAT Filing
6. Assist in monthly closing, quarterly forecasting and annual budget preparation
7. Provide partial information to auditors / annual income tax filing
8.Ad-hoc duties or new job responsibilities as assigned to maximize the efficiency of the team.