
[Accounting]
Accounting Report
July 28, 2020

[Accounting]
Year End Settlement
July 28, 2020

[Accounting]
Training Block Management
July 28, 2020

[Accounting]
Journal Management
July 28, 2020

[Accounting]
Bank Batch Processing
July 28, 2020

[Accounting]
Bank Reconciliation
July 28, 2020

[Accounting]
Multi Bank Processing
July 28, 2020

[Accounting]
Deposit and Payment-Processing
July 28, 2020

[Accounting]
Debit Credit Note for Oversea Transaction
July 28, 2020

[Accounting]
Billing for General and Administration Expense
July 28, 2020

[Accounting]
Billing and Invoicing of Operation
July 28, 2020

[Accounting]
Trade Partner’s Credit Management
July 28, 2020

[Accounting]
Exchange Rate Management
July 28, 2020

[Accounting]
Set up Bank Account and Accounting of Office Code
July 28, 2020

[Accounting]
Set up Billing Code
July 28, 2020

[Accounting]
Set up GL Code
July 28, 2020