Finance/Account Assistant
Account Payable
• All functions related to Account Payable, Bank reconciliation and Quarterly GST Filing.
• Assist Auditors during year-end audit
• Assist in preparing, updating and maintaining of books for subsidiary account
• Assist with Month-End closing including bank reconciliations
Account Receivable
• Daily upgrade all payment received and matching invoice
• Assist RM do credit card charge and WH sales payment collection.
• Created NEW COD / Trade account
• Create CTC invoice and account related matters to customer when customer/RM request.