About this role
<p>- Reconciles daily and monthly transactions between company reports and bank reports.- Preparing daily cash and international money transfers.- Process Settlement, Void, Refund, and Chargeback for daily transactions.- Preparing monthly service tax invoices for merchants and withholding tax (WHT) reports- Prepare financial reports, dashboards, and presentations for management, board of directors.- Utilize reporting tools are Power BI.- Supporting Financial Projects.- Coordinate with Development team to support organizations when adding a new payment channel.- Supporting Financial Projects.- Other tasks as assigned.</p>

