Job DescriptionsJob Description
Finance & Accounting Management Task:
- Responsible for treasury supporting.
- Responsible for processing payments, including issuing checks and performing SMART transfers for vendors billing including staff claims for payment recording upon receiving approval from the Financial Accounting (FA) Manager & checking supporting documents.
- Ensure all bank statements are accurately maintained, organized, and filed for easy reference and audit purposes and month-end reconciliation all bank accounts to ensure accurate financial reporting.
- Process withholding tax whenever it is applicable, issuing WHT certificate attached with the relevant payment for signature.
- In charge for WHT and VAT report & filing on monthly basis.
Responsible for AR, Billing & collection Task:
- Handle the preparation of all required customer billing documents, ensuring accuracy and timeliness.
- Confirm payment schedules with customers, coordinating with the messenger team for collections to secure timely payments.
- Immediately inform the FA Manager of any issues or delays in the billing or collection process to ensure proactive problem resolution.
- Ensure that all received customer payments are accurately recorded in the GSE system, maintaining up-to-date and accurate accounts receivable data.
- Month-end reconciliation by assisting in reconciling AR monthly to ensure accurate financial reporting.
Others Task:
- Coordination on Non-PO Invoices: Collaborate with relevant teams to verify and follow up on all non-PO (Purchase Order) invoices to ensure they are recorded within the correct accounting month.
- Month-end reconciliation by assisting in reconciling non-PO payables monthly to ensure accurate financial reporting.
- Other works as assigned.
How to apply- Apply through JobThai.com (Click Apply Now)
- Apply by E-Mail
- Interested candidate, please send your resume in English (Word Format only) along with your recent photo and expected salary to us by E-mail