Arrange meetings with local commercial banks for General Manager, members of FinancialInstitutions Departments from Head Office (if required) Attend the meetings and take notes of the meeting minutes Translate all documents in the office (including correspondence and financial statements) and from Head Office as well Make payment and receipt vouchers Prepare daily, monthly reports on cash on hand to submit to Finance Manager andOperations Manager Arrange travel and accommodation to staff (if required)
đang được dịch, vui lòng đợi..
