1. Receive checked payment request - Check double pay & Check due date;
2. Prepare Remittance & Send docs to Bank;
3. Receive Bank Statement & record to D365
4. AP report for Tax refund purpose (with Inv No., Vendors, Transaction, Amount);
5. Bank report & AP Out Standing Report;
6. Stock & stock provision report, Inventory transaction;
7. Saving AP Docs (Only got the responsibility, no need to save);
8. Follow and record surcharge of Supplier/Vendor OS…
9. Allocated handling, freight cost to value of goods purchases
10. Lead to Payment & Treasury team to work with internal/ external in country level
11. Make some report analysis, willing to OT one necessary for urgent task
12. Other tasks assigned by Finance Manager
- Graduating in accounting and / or finance
- Minimum 2-3 years working experience in AP position;
- Honest, enthusiastic, and highly responsible
- Meticulous, focused, and careful in work.