เรากราบขอประทานโทษเป็นอย่างยิ่งสำหรับความผิดพลาดของเราในระหว่างที่คุณเข้าพักกับโรงแรม
Be directly responsible to Finance Manager Prepare for posting all of invoices in order to record transaction code on SAP Prepare Payment Voucher all of invoices and cheques
Issue Receipt / Tax Invoice and record
- The billing all invoices, Record transaction to SAP systems.
- Prepare payment Voucher for all invoices and issues cheques
- Issue Receipt / Tax Invoice and record transaction to SAP systems.
- Issue and prepare WHT 3, 53, 1 and Reconcile WTH 3, 53 and submit to Revenue Deparment
Prepare SSO by monthly and submit to Social Security Office.
Issue input tax and output (PP30) in order to submit to Revenue Department
Reconcile PP3 and filing Tax Invoices monthly.
Inspect bank statement, Reconcile bank THB, USD and s report to Overseas (Singapore Regional Office).
Reconcile Advance Payment for all staffs.
Inspect and prepare Payment Voucher for staff and utilities.
Issue transaction payment order on the HSBC System both local and overseas.
Issue letter in order to submit to HSBC
Inventory counted and then posting Goods under transaction code no.MI01 / MI04 / MI20
Update the daily report and submit to Overseas (Singapore Regional Office)
Review all of invoices under account and adjust on SAP Systems before cut-off within end of month
เรากราบขอประทานโทษเป็นอย่างยิ่งสำหรับความผิดพลาดของเราในระหว่างที่คุณเข้าพักกับโรงแรม
Be directly responsible to Finance Manager Prepare for posting all of invoices in order to record transaction code on SAP Prepare Payment Voucher all of invoices and cheques
Issue Receipt / Tax Invoice and record
- The billing all invoices, Record transaction to SAP systems.
- Prepare payment Voucher for all invoices and issues cheques
- Issue Receipt / Tax Invoice and record transaction to SAP systems.
- Issue and prepare WHT 3, 53, 1 and Reconcile WTH 3, 53 and submit to Revenue Deparment
Prepare SSO by monthly and submit to Social Security Office.
Issue input tax and output (PP30) in order to submit to Revenue Department
Reconcile PP3 and filing Tax Invoices monthly.
Inspect bank statement, Reconcile bank THB, USD and s report to Overseas (Singapore Regional Office).
Reconcile Advance Payment for all staffs.
Inspect and prepare Payment Voucher for staff and utilities.
Issue transaction payment order on the HSBC System both local and overseas.
Issue letter in order to submit to HSBC
Inventory counted and then posting Goods under transaction code no.MI01 / MI04 / MI20
Update the daily report and submit to Overseas (Singapore Regional Office)
Review all of invoices under account and adjust on SAP Systems before cut-off within end of month
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