Roles and Responsibilities:
Perform cash flow daily and monthly
Issue withholding tax
Record payment in the system
Administer the operation of Accounting and Finance Department including support information to the concerned departments
Perform Bank reconciliation and Cash daily reports.
Preparing the payment document for vendors, employees and relating parties.
Revaluation in GL system
Monitoring cash in and out
Top-up money in Novitiate, Sky speed system
Document for Loans and Deposits
Participate in system implementation to improve on existing work processes, as well as initiate recommendations to improve internal controls
Qualifications:
Bachelor’s Degree in Accounting or Finance.
Minimum 1-3 years of working experience in Accounting or Finance.
Fluent written, spoken and reading capability in English and Thai.
Strong analytical skills and track record in completion of project assignments.
Ability to work independently and meet regular tight deadlines.
Dynamic and ability to adapt to a fast paced environment.
Team oriented, and capability to work in a collaborative manner with both internal departments as well as external service providers.
Proficient in MS Office Application