รายละเอียดงาน• Prepare CAF's analysis for new customer request credit term / credit limit to request approval from Management team
• Recored accured expense / prepayment (BONUS, 13TH MONTH, RENTAL OFFICE, AUDIT FEE etc,)
• Closing monthly – Finance. DAX - All of Banks to reconcile in the system. Send SOA for IC some contries. Support to prepare report no.1 "Treasury report".
• Check original invoices and original documents have been booked by the operation team into the Focus system before make the payment.
• Enter the detailed information at payment in the excel file.
• Recheck bank statement for credit side in bank for book into DAX system
• Issue receipt/tax receipt after received money from customer by re-check with all invoices in lumsum amount
• Booking transaction from receiving money into DAX
• Reconciled WHT receivable for original document with jounal in system
• Keep pety cash in hand only 2000 THB for postage and record for support original document to top up cash
• Control postage list to send original tax receipt to customer
• Order messenger to pick up cheque in some customer case only pay by cheque
• Write deposit cheque to support bank when receive money from cuystomer by cheque
• Issue invoice to collection dept for office rental
• Prepare SOA (Statement of Account) for collecion dept per weekly and monthy
• Prepare AR Collection Report (Target / Shortiall) for AR Ageing per daily
• Prepare Sale Vat report to support PP.30
• Coodinate with bank for acception the exchange rate before money 's customer oversea reflect into bank accout
• Create a new customer on DAX and filling the code into Focus system
• Support external audit / internal audit
วิธีการสมัคร- Send Resume to email
- Send Resume via Jobthai
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