Job Responsibilities:
Timely and accurately report and provide meaningful accounting detail and analysis support
Accurately prepare the accounting entries and details for Manulife Insurance Thailand (MIT) and Manulife Asset Management Thailand (MAMT) on timely manner with minimal errors
Prepare Receive, journal voucher in sun system and journal import CAS daily, AMS weekly into sun system.
Record bank charges, withholding tax.
Bank Reconciliation: 9 accounts (MIT), 38 accounts (MAM), (Total 47 accounts) within 20th after each month-end closing.
Prepare monthly accounting details 20 accounts with correctness and on-time within 20th after each month end and ensure the correctness and un-reconcile items.
To prepare invoice and detail support charge back to Regional as Monthly basis within timeline and minimum errors.
Month-end Closing: Record transaction (Both MIT and MAMT) for support account closing to be on time and in accordance with accounting standard.
Improvement Process: Automation Bank Reconcile