รายละเอียดงาน-Prepare annual budget, planning and conduct forecast.
-Ensure accurate and timely recording and reporting of accounting activities, *including month-end closing, balance sheet reconciliation in accordance with deadlines.
-Review and manage withholding tax report, VAT report as well as prepare tax submission, ensure tax compliance and deal with tax authorities.
-Prepare managerial and financial reports, P&L evaluating, capital investment and key business drivers to support management decision and business growth.
-Review expenses, capital expenditures and bank transactions.
-Maintain an environment of strong internal controls.
-Lead various audit activities (Internal & External).
-Contact with banks and local authorities.
-Daily invoicing to customer.