Treasurer: cash fund management, reporting exists to fund cash and Bank reports daily and monthly, transactions with the Bank.Perform the work related to Administration-Personnel (management, text arrangement, employment record, clocking, track stationary, track and resolve insurance BHXH mode for employees, track, update, records management company labour list, drafting decisions, announcements ...).Dispatch Editor, economic contracts, quotes, support the recovery of the debt accounting of debt, making the record bid, enter the command and management of software maintenance-repair.Last month the reports Board of Directors, perform the work at the request of the Director.
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