- Handling Admin payments/Petty cash
- Handling Outward remittance process
- Liaising with Customer Service for agent invoices and BLs
- Liaising with CA for 15CB C with bankers for spot rates, documentation and swift advice
- Liaising with OSA for monthly SOA C reconciliations
- Knowledge of Domestic C Overseas Sales invoices C GST applicability C other statutory compliances
- Preparing agreement with OSA