- To assist in clients' bank reconciliations
- To assist in preparing documents for approved payments, application of bank drafts and tele-graphic bank transfer of the Client Accounting.
- To assist to perform the Client Accounting and Tax Services tasks.
- To assist in scanning of internal documents such as payment vouchers and etc
. - To assist in compiling documents for audits and tax assignments
- To handle mailing and backup the necessary documents to our systems.
- To assist in filings, ad-hoc functions and related duties assigned from time-to-time.