? Clear finance box, make sure all invoices are booked timely and correctly ? Record all the bank payment and receipts timely ? Invoice and payment clearing timely for customers and vendors, make sure the clear statement of customers and vendors ? Process Payment run, and process bank reconciliation ? AR aging report timely and follow up with customer services to catch up the overdue payment ? Confirm and reconcile IC balance ? Sales report ? Attend queries about unapproved invoices and unpaid invoices ? GL booking including accrual and deferred expense booking, tracking and clearing, payroll, fx evaluaiton, etc ? Fixed Asset booking and management including registration and disposal ? Support annual audit and stock taking ? Monthly end closing Cognos report input and preparation ? Other ad hoc tasks assigned by the department leader.