Responsibilities
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- Finance activities: A/P, Petty Cash, Payroll, Expense Reimbursement,
intercompany charge & reconciliation , cash management, VAT, withholding tax
and income tax return.
- Monthly closing (A/P, G/L, account details and
reconciliation) with monthly/quarterly financial reporting and assist annual
plan.
- To assist the Implementation policies and procedures under local law,
tax regulation and practice.
- Management office administration, renewal
company license.etc.
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