· Booking new FA and monthly deprecation
· Following up consumable items imported to support for customs settlement
· Periodically performing FA & consumable item count
· Working with Supply Change to reconciling stock balance between ERP and customs system to ensure they are matching.
· Regularly walkthrough Supply Change transactions (inventory in/out, BOM registration Vs actual consumption…) to review compliance, review and point out abnormal transactions and root causes.
· Performing monthly stock cycle count
· Performing yearly stock cycle count - twice a year.
· Material cost analysis
· Ah-hoc jobs required by Finance Controller (management reporting, internal control…)