Address client queries, staff queries and other internal group queries and requests for information Ensure saving the month ends for stores from the point-of –sale for correctness, looking for errors For applicable complete drawdown lists for fund injection Administrators on bank profiles, responsible for adding, removing error resolution, access to staff, etc E-filing administrators for adding, deleting and editing staff profiles Landlords, etc Updating, developing, maintaining internal templates, procedures, etc Job Position: Accountant
with Landlords and franchisees on concerns, administrative requirements, documentation, and final agreements with Landlords and franchisees on concerns, administrative requirements, documentation, and final agreements
with Landlords and franchisees on concerns, administrative requirements, documentation, and final agreements with Landlords and franchisees on concerns, administrative requirements, documentation, and final agreements