Control billing and payment process with clients
Control cheque collecting and payment process with supplier
Manage any related documents e.g. Tax Invoice, Payment receipt
Balance and update the payment outstanding record
Monitor and follow up the outstanding clients
Monthly stock checking
Reconcile Bank Statement
Responsibilities :
Accounting records AP
Payment function ; issue cheque and transfer money to customers and employees by record via SAP and report to supervisor
Collect function ; record overseas incoming payment via SAP and record collecting payment from sales receipt