Plan and manage day-to-day accounting operations including the accounting books, accounting system and taxation to ensure that they are accurate and timely
Supervise accounting team, developing and maintaining an effective accounting system, monitoring and controlling financial and regulatory reporting
Response for all activities relating to all inventory and costing transaction (included inventory report), review and control all account reconciliation as well
Work closely with reconciliation team, operation team and liaison with the auditors and external parties on financial and accounting issues
Collect and review all information and prepare monthly accounting close and full set of accounting and financial report
Prepare cash budget and cash flow forecast and find source to invest excess cash in accordance with company’s policy
Prepare PL Forecast report and Budgeting
Analyze and review financial statement and recommend appropriate budget levels and ensure expenditure control
Ensure the proper consolidation of company financial statements
Do foreign exchange transaction (Spot, Derivative included)
Daily, weekly, monthly, cash flow preparation
F/A ledger maintaining
Plan and manage day-to-day accounting operations including the accounting books, accounting system and taxation to ensure that they are accurate and timely
Supervise accounting team, developing and maintaining an effective accounting system, monitoring and controlling financial and regulatory reporting
Response for all activities relating to all inventory and costing transaction (included inventory report), review and control all account reconciliation as well
Work closely with reconciliation team, operation team and liaison with the auditors and external parties on financial and accounting issues
Collect and review all information and prepare monthly accounting close and full set of accounting and financial report
Prepare cash budget and cash flow forecast and find source to invest excess cash in accordance with company’s policy
Prepare PL Forecast report and Budgeting
Analyze and review financial statement and recommend appropriate budget levels and ensure expenditure control
Ensure the proper consolidation of company financial statements
Do foreign exchange transaction (Spot, Derivative included)
Daily, weekly, monthly, cash flow preparation
F/A ledger maintaining
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