• Performs daily work with low complexity, including preparation of payment instructions, maintaining cash position preparation of journal vouchers, closing partial/full set of books, generation of monthly and annual financial statements, compile regular tax returns with tax computations, other filing activities; • Reconciles accounts, balances ledgers, assists in updating cash position; • Issue tax invoices and perform input VAT tax verification; • Supports on document filing following local compliance requirement; • Performs other duties as assigned.