1. Process and complete invoices, receipts to all customers.
2. Follow up and collect cheque/cash from A/R (related companies, laundry shop at Canal Village) in honestly and daily deposit punctually to bank.
3. Prepare and complete prepaid withholding tax reconciliation.
4. Prepare and complete reconciliation of sales VAT pending and sales VAT report.
5. Prepare and complete reconciliation of accrued laundry income at Canal Village Shop.
6. Perform monthly JV of accrued laundry income.
7. Prepare and complete A/R reconciliation.
8. Perform physical count inventory of R&M, printing during on 25th to 26th every month.
9. Perform RPT confirmation and documentation by quarterly basis completely.
10. Perform monthly JV of drinking water and copy machine.
11. Surprise spot check of pending laundry income at canal shop 1 time per month.
12. Perform monthly JV of Telephone, Accrued Telephone, Gasohol for LHC, Nurse service and Mini van
13. Recheck all registered books for vehicle of LSC every quarter