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May Nan San Thu Co.,Ltd

Verified This Company has been
Verified or Registered as Real.
This Company has been
Verified or Registered as Real.

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All May Nan San Thu Co.,Ltd Jobs
Handle full set accounts and deliver timely and responsible for monthly closing activities Maintain and reconcile general ledger accounts including AP, AR and Fixed Assets Ensure timely completion of all balance sheet schedules and account reconciliations Maintain accurate stock records and inventory balances Check all source documents, payment vouchers, bank receipts etc. Monitoring of daily bank balance and monthly bank reconciliations Prepare SOA and chasing customers for payment in timely basis. Undertake additional tasks and responsibilities when required or as instructed
May Nan San Thu Co.,Ltd Awards