AP/AR Trade Oversea, Costing
- To check the validity of the document before the record
- Prepared transaction entries of payment and confirm to partner
- Recording goods in-transit
- Confirm statement account to partner and closing AP month end
- AP trade reconcile , Account code reconcile
- JV manual adjust
- Maintain new/change vendor register in system
- Report console purchase for support Tango system
- Contact and cooperate with all of partner oversea
- To check the validity of the shipment of AR before export
- Record AR Trade and reconcile
Costing
- Monitoring item missing std. cost
- Standard Cost Roll up and confirm by daily , Quarterly
- JOC Running number and Booking in iMaps system
- Inventory Physical Checking
- Check cut stock between control file and iMaps
- TB Reconcile account code (suspense account )
- Issued claim note for claim NG , Other case
- Dispose report by monthly
- Dispose observation by monthly
- Report compare dispose report & actual
- Report รง.8 (Production Completed & Sales)
- Other tasks with assign by account leader