• Controlled and check the accuracy of payment documents.
• Verified the accuracy of the documents related to the tax invoices.
• Controlled and monitor of payment is required by financial regulations.
• Checked the accounts that come in the system each day (General Ledger Accounts Payable)
• Prepared accrued expenses and review expenses.
• Advised to other department.
• Recorded accounting for investment.
• Recorded accounting and preparation of bank reconciliation.
• Managed month end closing investments and Interbank and money market items.
• Prepared the monthly and year end financial statements.
• Prepared note to financial statements.
• Prepared Data set to BOT.
• Verified provision for bad debt.
• Reported Data Set and other assets every end of month.
• Reconciled Data Set and cross checking.
• Prepared and record journal slip for adjustment of the allowance for doubtful loans and other assets including write off loans transaction comply with BOT rules.
• Coordinated with other departments, all branches and external units (i.e.External Auditor, BOT)
• Supported the accounting and financial statement for Executives of department.
• Prepared the reports related to the ICBC(HO) template.
August 2005 – June 2008
TMB Bank Public Company Limited
Officer
• Received the documents of expenses do from other units.
• Analyzed withholding tax i.e. PND 3, 53, 54 and PhorPhor 36.
• Examined evident that requested from other units, particularly, authorizing power for further progress, regulations, conditions, tax invoice, receipts and expenditure budget.
• Issued the account and recorded into debit credit.
• Issued cashier cheque to vendor.