1. prepare Cash Flow Company
2. Financial Planning monthly, quarterly, sulfur, Year
3. Monitoring and control of cash disbursements, subsidiaries
4. Plan and coordinate the financing. With financial institutions and financial
5. Check and make checks payable and financial Supplier
6. Oversee the collection and reporting customer receivables outstanding
7. Coordinate. On finance, showroom
8. payroll R & D. And banks or
9. Filing to the IRS, Social Security, fund
10. Audit and Reconciliation Statement, related accounting
11. Finance.
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