-To handle for outstanding account receivables and arrange payments for outstanding account payables. -To prepare cash and bank reconciliation (including daily cash and bank balance and cash book balance). -To prepare account payable entry. -To prepare month-end closing in time and reporting to Manager. -To collect cash from customers, occasionally. -Any other tasks assigned by Manager.
Provide real-time interpretation (Korean ↔ Myanmar) during meetings, training, and daily communications. Translate business documents, marketing content, and product information with accuracy and clarity. Assist Korean management in communicating with local employees, distributors, and external partners. Accompany management during business meetings, events, and trips when required. Ensure cultural sensitivity and professionalism while handling confidential information. Act as a bridge to strengthen smooth cooperation between Korean and Myanmar teams.