- Responsible for setting up vendor payments
- Generate bank statement and activities list to support account payment to post the vendor payments.
- Responsible for confirming remittance and posting payment from the customers.
- Responsible for bank account reconciliation
- Manage company credit card activities and develop proper risk management policy around card usage.
- Safekeeping the cheque/bank token/cash and other important documents related to funding work.
- Responsible for the SBLC issuing with local bank.
- Liaise with the customers, banks and HQ in drafting acceptable SBLC language.
- Help review LOC/Trade LOC language from the customers.
- Support HQ with business related to the bank including bank capacity increasing, preparing financing documents.
- Manage, analyze, report and optimize the finance cost.Prepare the Funds report/cashflow forecast and analysis report monthly.