Responsible for accounting transaction. AP, AR, other General ledger, and reconcile bank.
Control cash , Bank , Credit facilities , Forward exchange rate,…. by weekly cash flow.
Verify payment vouchers and supporting documents.
Verify WH/T and VAT calculation both from suppliers and to customer.
Reconcile / prepare monthly WH/T reports for submissions to government.
Review/ prepare monthly Input Tax reports with original tax invoices.
Prepare month-end closing transaction and monthly P&L for management
Monitor issuing invoices and billing to customer.
Other assignment from immediate supervisor.
Calculation and Accounting of Forecast Corporate Income Tax
CHECK / REVIEW FINAL BALANCE SHEET as below :
- All Accounts and All Balances must be checked and reviewed.
- Provisions : Financial Investments, Doubtful Debts, sale rebate …
- Match related Accounts: Interest / Tax over Interest / all of expense.
After generate for financial statement and balance sheet, I have to do for financials analysis in English , and sent the all of report to Head office (Spain).
Accounting policies regarding payroll of employees.
ประวัติการฝึกอบรม
ความสามารถ
ความสามารถทางภาษา
พูด (ดีมาก) อ่าน (ดีมาก) เขียน (ดีมาก)
พูด (ดีมาก) อ่าน (ดีมาก) เขียน (ดีมาก)
ไทย 42 คำ/นาที อังกฤษ 55 คำ/นาที
รถยนต์ ,
รถยนต์ ,
** Good command of both spoken and written English.
** Good command of MS Office and Software packages in Accounting.