timely updates of accruals and journal entries. Handle cost allocations for payments and deposits, managing
timely updates of accruals and journal entries. Handle cost allocations for payments and deposits, managing
entire finance function Conducting reconciliations Handling VAT submissions Managing cash flow effectively
entire finance function Conducting reconciliations Handling VAT submissions Managing cash flow effectively
providing necessary documentation and assistance. Handling requests from the holding company promptly and
providing necessary documentation and assistance. Handling requests from the holding company promptly and