• Responsible for month-end and year-end fixed cost recording in SAP system and ensure accuracy and timeliness
• Handle local cheques payment both BKK & LCB and co-ordinate with bank officers related to outsourcing process and payment supporting documents controlling
• Review and manage cheque returned and cheque expired.
• Handle advance payment to staff and settle advance accuracy on time
• Proper enter all non PO transactions in SAP system
• Co-ordinate and work with concerned department in accounting function