你的职责
- Support the Finance and Accounting team in month end closing activities.
Perform bank reconciliation and assist in resolving reconciling items.
Support banking related accounting functions and ensure transactions are recorded accurately.
Prepare and post accrual or provision journal vouchers as requested.
Assist in reviewing accounting entries and supporting documents.
Maintain proper filing and documentation for audit and internal reference purposes.
Support ad hoc finance and accounting tasks when required.
Work closely with team members to ensure timely and accurate completion of assigned tasks.











