team. To coordinate for part issuing & data entry in the system. To help & support all kinds of
team. To coordinate for part issuing & data entry in the system. To help & support all kinds of
compliance with relevant regulations and reporting standards. Month-End and Year-End Close: Lead the month-end accounts and preparation of adjusting journal entries. Collaborate with cross-functional teams to gather interpersonal abilities Detail-oriented with a high level of accuracy Market related - Market related - Monthly
compliance with relevant regulations and reporting standards. Month-End and Year-End Close: Lead the month-end accounts and preparation of adjusting journal entries. Collaborate with cross-functional teams to gather interpersonal abilities Detail-oriented with a high level of accuracy Market related - Market related - Monthly
Cashbook processing (Capturing transaction from bank statements and correctly allocating to General Ledger) of all supporting documents Oversee all cards and bank reconciliations Assist to facilitate the financial and coordinate licensing contracts and service level agreements including external contractors, mobile
Cashbook processing (Capturing transaction from bank statements and correctly allocating to General Ledger) of all supporting documents Oversee all cards and bank reconciliations Assist to facilitate the financial and coordinate licensing contracts and service level agreements including external contractors, mobile
Responsibilities: Process monthly accounting transactions from bank statements to Pastel Accounting up to trial balance documents. Perform bank reconciliations. Prepare monthly bank reconciliation for all bank accounts. Conduct
registered, controlled, and implemented following standard methodologies and practices. Contribute to the reporting as necessary. Manage cash flow forecasts, bank reconciliations, and treasury operations. Maintain
registered, controlled, and implemented following standard methodologies and practices. Contribute to the reporting as necessary. Manage cash flow forecasts, bank reconciliations, and treasury operations. Maintain
registered, controlled, and implemented according to standard methodologies and practices. Contribute to the reporting as needed. Oversee cash flow forecasts, bank reconciliations, and treasury operations. Maintain