- Handling of daily account operation and administrative tasks, such as prepare and process accounts payable and receivable, including invoicing, reconciliations and payments - Maintain and update financial records and ledgers - Handling of petty cash claim reimbursement. - Coordinate treasury activities which include prepare daily cash flow, online payment and etc. - Ensure all accounting records and documents are properly filed and maintained. - Perform ad-hoc tasks or duties assigned by superior. - Contribute to the continuous improvement of accounting processes and procedures.