Review and supervise the timely and accurate monthly closing and the financial statement
Manage the Accounts team in preparation and analysis of financial statement, management report with timeliness, accuracy and compliance with TFRS for NPAEs
Implement a more systematic and sufficient internal control policy including workflow and procedure
Provide source of fund planning to ensure adequate cash flow to meet the organization needs
Corresponds with the banks regarding the facilities and service
Supervise accounting staff and financial staff in handing their functions
Tax management
กุมภาพันธ์ 2560 ถึง มิถุนายน 2561
ผูัจัดการบัญชีอาวุโส
นิวเจน แอร์เวย์
ตึกซันเทาวเวอร์ เขตจตุจักร กรุงเทพ
สำหรับสมาชิกเท่านั้น
Review and supervise the timely and accurate monthly closing and the financial statement
Manage the Accounts team in preparation and analysis of financial statement, management report with timeliness, accuracy and compliance with TFRS for NPAEs
Implement a more systematic and sufficient internal control policy including workflow and procedure
Provide source of fund planning to ensure adequate cash flow to meet the organization needs
Corresponds with the banks regarding the facilities and service
Supervise accounting staff and financial staff in handing their functions
Tax management
Responsible directly for the internal audit
Implement a more systematic and sufficient internal control policy including workflow and procedure
Assisted in preparing operation manual and set up internal control
Solve accounting & financial problem to CFO.
Assisted in tax planning training Management
General Manager Accounting and Finance
April 2012 February
The Signature Brand CO.,Ltd.
Responsibilities Direct and manage the full efficiency of the finance and accounting control / operation reporting to Managing Director and CEO
Review and supervise the timely and accurate monthly closing and the financial statement
Manage the Accounts team in preparation and analysis of financial statement, management report with timeliness, accuracy and compliance with TFRS for NPAEs
Implement a more systematic and sufficient internal control policy including workflow and procedure
Provide source of fund planning to ensure adequate cash flow to meet the organization needs
Corresponds with the banks regarding the facilities and service
Supervise accounting staff and financial staff in handing their functions
Tax management
Assistant Manager Director (Accounting & Finance) and Internal
Audit Head
March 2004-March 2012
Kantana Group PLC.,
Performing their financial statements (e.g. balance sheet, statement of income, cash flow statement, and related notes) with timeliness, accuracy and compliance with TFRS for PAEs
Performing analytical procedures (e.g. financial ratios, material fluctuations) to the financial statement
Manage the monthly closing processes to ensure that reliable information is made available in a timely manner
Guide and develop the staff in the accounting organization.
On a monthly basis, compile accounting reports from Accounting system field sub- offices for the monthly closures; Perform the month end closure and produce financial reports for submission to headquarters
Aware and control tax point of business
Manage and control cash flow
Contact and negotiate with the Finance Institute
Update and study the effect of new accounting standard
Responsible directly for the internal audit
Performance secretary of Audit committee