shipping controllers in China
Liaison with shipping controllers in China Banking Reconciliations Debtors/Creditors General Finance
Liaison with shipping controllers in China Banking Reconciliations Debtors/Creditors General Finance
Statutory payments • Costing of products • Bank reconciliations • Journals • General Ledger accounts Salary:
statements, various tax duties and auditing Bank reconciliations Invoice and statement checking Assists the
payments and cash book processing; Monthly bank reconciliations; Monthly supplier reconciliations; Monthly
include: Debtors and creditors reconciliations, bank reconciliations, budgets, costing, invoicing, ledgers and Statements Collection of outstanding debt Compile Bank reconciliations Assist with Costings Assist with Budgets
with monthly and year-end tasks Perform banking reconciliations Process employee expense reports and company
activities with regards to card holder queries Bank Reconciliations · Ensure all queries are resolved and reconciled
role also involves: Receipt of cash and bank reconciliation Management of debtors and processing of payments