for a wide range of financial activities including bank reconciliation, VAT submissions, cash flow management Perform bank reconciliation including cheque, call, salary, and 48-hour transactions Import bank statements
Statement
Statement
Drafting letters and emails to the Master's Office, banks, finance companies, beneficiaries, creditors and
Drafting letters and emails to the Master's Office, banks, finance companies, beneficiaries, creditors and
the client re: updates of personal particulars/banking details.
reduce/prevent fraudulent activities and risk. Liaising with banks, clients, auditors and vendors and providing them
the client re: updates of personal particulars/banking details. Compile tax calculation and schedules
jurisdictions and currencies including, Capturing of the bank statements Monthly Journals Monthly billing Preparation