feb 2023 - Presente
- Prepare data and check the completeness and validity of cash/bank disbursement evidence needed for company financial payment activities.
- Post transactions and categorize records in the General Ledger
- Maintain fixed asset modules, including depreciation
- Participate in monthly financial close process including account analysis, account reconciliations, preparing journal entries, and balancing inter-company accounts
- Manage payment activities, distribution of funds with accurate data and according to the Cash Flow Plan
- Prepare documents for audits (Interim & Year-end)
- Support the preparation of financial reports, both periodic and non-periodic for the delivery of financial information to management