Main Duties
- Payment for all general expenses and staff reimbursements.
- Payment for trade payables include matching.
- Prepares monthly reports / schedules.
- Perform monthly bank reconciliation.
- LCCI or higher is preferred.
Main Duties
- Payment for all general expenses and staff reimbursements.
- Payment for trade payables include matching.
- Prepares monthly reports / schedules.
- Perform monthly bank reconciliation.
- LCCI or higher is preferred.