Bank Reconciliation Oversight Supervise and validate reconciliation of settlement reports from payment providers against internal records. Ensure accuracy and timeliness of re…
1. Bank Reconciliation Match settlement reports from payment providers against internal records. 2. Daily Operational Support Coordinate with store admin staff to resolve cust…
Job Description: 1. Bank Reconciliation Match settlement reports from payment providers against internal records. 2. Daily Operational Support Coordinate with store admin st…
Job Description: Bank Reconciliation Oversight Supervise and validate reconciliation of settlement reports from payment providers against internal records. Ensure accuracy …
Responsible for Accounting, Tax, legal processes and bookkeeping tasks Review All transactions; AR / AP / GL Prepare, Collation and translation of Accounts Payable documentation …
A distribution company offering premium global brands to the local market. A growing company across automotive, technology, and wellness sectors. About Our Client This organi…
Job Description Job responsibilities This position handle with logistic clients Compliance services part: 1 Bookkeeping service Provide bookkeeping services for a client to be co…
Company Description Shiji Group provides software solutions and services for the hospitality, food service, retail and entertainment industries, ranging from hotel management sol…
Job Position Job Responsibilities Checking the payment documents to ensure that the company's payout is on schedule and accurate. Providing and recording a payment voucher to…
Job Description: Responsible for Accounting, Tax, legal processes and bookkeeping tasks Review All transactions; AR / AP / GL Prepare, Collation and translation of Accounts Pa…
Job Description Key job duties/results areas descriptions: 1. Finance & Accounting Management Task: a. Responsible for treasury supporting. b. Responsible for processing payments, …