Senior audit assistant
Research for clients’ business on their trend, position and conduct interviews to clarify perceptions, define issues, assess options, and gain consensus.
Liaison between Foreign PwC managers and Thai clients or Thai PwC managers and Foreign clients in audited issues and negotiate for optimize solution.
Analyze financial statements in each financial area, raise critical issues and develop recommendations that reflect client’s business e.g. goals, key success factors, strategy for competition.
Review financial reports in order to comply with Thai GAAP and/ or requirement of clients’ Parents Company especially inU.S.A.,Germany, andJapan.
Manage multiple projects and set approach that makes effective use of team members’ skills in order to achieve better performance than previous year.
Perform due diligent for client (construction industry) as a basis to propose Financial Restructuring Plan.
Perform special audit on fraudulent check for cost and expenses of client (transportation industry) to clarify huge different between supporting details and balances submitted to its Parents Company.
Perform internal audit on revenue cycle (retail industry) to assure that the related staffs’ performance comply with the company’s procedure.
Prepare financial statements of Thai public company (utilities sector) to comply with U.S. GAAP for Foreign Investors.
Adjust financial statements of state-own enterprise (utilities sector) to comply with Thai GAAP in order to transform to a public company.
Accounting & HR Manager
Review Financial Statement, coordinate with Auditor and company’s accountant (outsource)
Forecast representative office’s budget
Deal with Commercial Bank and Bank of Thailand for money transfer
Deal with Revenue Department on General tax and Tax redemption case
Prepare details for IRS requisition and Thailand Personal income tax for Expat
Prepare representative office payroll
Assistant Portfolio Manager
Engage in investment model (equity market)
Update portfolio’s stocks on their news and performance.
Review Administrator’s NAV to reflect fund’s performance.
Coordinate in preparing Fund’s Financial Statement and K-1 report.
Coordinate with each Fund Manager on performance, issues, subscription, and redemption.
Manage soft dollar basket