•Manage and oversee daily operations of accounting transaction and process including billing, receivables, payables, cash receipts, cash disbursement, and general ledger functions with accuracy and in a timely manner.
•Monitor and follow-up on receivables that have been outstanding to settle within due date. Consider credit customers, Aging Report, Prepare the Collection Plan & Collection Execution.
•Bank Reconcile Statement.
•Lease & communicate with banks for various transactions dealing with bank transactions (PN, LC, and TR).
•Analysis project i.e. Calculate breakeven, margin, and cost per project or campaign.
•Managing cost of investment including interests, credit term, and lead time of payment and receive.
•Plan and monitor on cash flow and cash management - cash collection and deposit, cash budgeting and cash payments.
•Managing and controlling all accounting, finance and taxation processes.
•Produce monthly financial statements including, balance sheet, profit and loss statements, and accumulative general ledger for accuracy and completeness.
•Maintain accounting and financial record keeping and reporting systems to ensure accuracy of the records and to present to Director when needed.
•Monitor and analyses accounting data and produce financial reports or statements.
•Performing month-end and year-end closing activities.
•Prepare and analyze budgeting &accounting report
•Oversee, in conjunction with independent auditor, preparation for annual audit to ensure a clean and timely audit.
•Working Mon-Fri 8.00-18.00
•Manage and oversee daily operations of accounting transaction and process including billing, receivables, payables, cash receipts, cash disbursement, and general ledger functions with accuracy and in a timely manner.
•Monitor and follow-up on receivables that have been outstanding to settle within due date. Consider credit customers, Aging Report, Prepare the Collection Plan & Collection Execution.
•Bank Reconcile Statement.
•Lease & communicate with banks for various transactions dealing with bank transactions (PN, LC, and TR).
•Analysis project i.e. Calculate breakeven, margin, and cost per project or campaign.
•Managing cost of investment including interests, credit term, and lead time of payment and receive.
•Plan and monitor on cash flow and cash management - cash collection and deposit, cash budgeting and cash payments.
•Managing and controlling all accounting, finance and taxation processes.
•Produce monthly financial statements including, balance sheet, profit and loss statements, and accumulative general ledger for accuracy and completeness.
•Maintain accounting and financial record keeping and reporting systems to ensure accuracy of the records and to present to Director when needed.
•Monitor and analyses accounting data and produce financial reports or statements.
•Performing month-end and year-end closing activities.
•Prepare and analyze budgeting &accounting report
•Oversee, in conjunction with independent auditor, preparation for annual audit to ensure a clean and timely audit.
•Working Mon-Fri 8.00-18.00
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