Ensure adherence to high company standards for safety, environmentalawareness, business ethics, and valuing all people
Ensure following work process to produce accurate and timely payment. In the same time maintaining adequate internal control per company’s guideline.
Work with related departments to improve flow of communication and documentation so that invoices or request for payment will be received by A/P in time to prepare payment on due date
Enter adjustment of A/P within the approved limit of authorities.
Deal with Convenience Retailing team, store, logistic and suppliers to solve any problems may arise from purchasing transaction.
Direct interface with suppliers for providing company payment guideline, receive billing, confirm payment date and make payment.
Match invoices billed from vendors with verified data in SUN system in order to arrange payment on due date
Generate payment file from SUN and interface into SCB Business Net by deadline required by bank.
Transmit request for payment to bank on weekly basis and maintain bank chq issued from bank ready for payment to vendor on every Wednesday.
Follow up C/N for products returned but have not yet gotten C/N from vendors on monthly basis.
Prepare manual cheques and issue W/H tax certificates for invoices not in standard due.
Maintain file of payment and summary report for future reference
Monthly prepare & review A/P aging report
Seek the way to utilize IT system to replace manual process within A/P in order to save time & cost
Support Finance Assistant- Cash Management for projects assigned
Being a back up on Finance Assistant- Cash Management ‘s absent