Assistant Manager Finance Account
Current➢ Process of Supply & Erection Invoices to the Clint. ➢ Interacting with Client and providing financial statement and their requirement. ➢ Prepare monthly expenses and requesting for fund disbursements. ➢ Prepare utilization of disbursed fund by verifying documentation, ➢ Summarizes financial transaction status and report to corporate. ➢ Check &Verify.