To be responsible for clearing expenses, tax (Phor Phor 36 and Phor Ngor Dor 54), cash reviewing, bank reconciliation and month-end closing.
Handle import and export clearing expenses and enter into SAP
Prepare Phor Phor 36 and Phor Ngor Dor 54 to ensure accurate Tax payment
Responsible for reviewing the bank account (Kasikornthai: Suapa) that are processed through direct sales channels
Prepare bank reconciliation of all Kasikornthai Bank accounts accurately and timely
Assist in month-end closing
Proper enter all non PO transactions in SAP system
Co-ordinate and work with concerned department in accounting function