• Prepare timely payments to sundry vendors and tax bureaus
  • Record journal entries, prepare bank reconciliation and month-end reconciliation of all general ledger balances
  • Prepare trial balance and financial reports
  • Perform daily receipt postings 
  • Ensure fixed assets are properly recorded
  • Preparing reporting for regional
  • Provide office administrative support and other ad-hoc tasks
  • Candidate must be available to join immediately and willing to contract based for 6 months
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