Tasks & responsibilities
- Responsible for matters relating to Accounts Receivable and banking transactions
- Handle full set of incoming receipt
- Handle monthly Head Office allocation billing (beginning of the month) and reimbursement non-trade billing (month end)
- Prepare quarterly and yearly inter-company confirmation and reconciliation
- Assist in the preparation of monthly financial reports and schedule
Benefits
- Group insurance coverages include hospitalization and surgical, personal accident and major illness
- Transport Allowance
- Flexible work arrangements