รายละเอียดงาน• Prepare bank documents or bank electronic files for making the payment both domestic and oversea
• Maintain accurate daily cash and bank deposits / Bank reconciliation and record bank transactions in SAP
• Preparing loans for subsidiaries and recording transactions in SAP
• Process expense reimbursements, petty cash for employee
• Foreign exchange rate risk review
• Preparing adjustments journal entry relevant to treasury tasks by monthly, quarterly
• Coordinate with banks to open bank accounts and provide facilities such as LC/TR, PN, BG, OD
• Coordinate with other departments such as AP/AR to ensure smooth payment processes and resolve any issue
• Coordinate with and support auditor for treasury activities
• Perform any other duties as assigned such as process improvement project.