Conduct in-depth monthly analyses of sales performance across various online market platforms.
Accurately determine the cost of goods sold by analyzing inventory data, purchase records, and production costs.
Prepare detailed forecasts of monthly operating and non-operating expenses.
Monitor and control selling and administrative expenses by reviewing cost reports, approving expenditures.
Track and calculate capital expenditure for both current and planned investments.
Compile and prepare monthly income statements that summarize revenues, costs, and expenses.
Perform analytical reviews of income statements to assess profitability, identify cost-saving opportunities.
Actively participate in weekly financial meetings to present updates, discuss performance metrics.
Ensure timely preparation, organization, and safekeeping of all financial documents, including vouchers, receipts, invoices.
Maintain accurate records of input and output VAT in accordance with regulatory requirements.
Accurately enter all financial transactions into the accounting system.
Prepare and submit payment requests for approval to the managing director, ensuring proper documentation and compliance with company policies.
กันยายน 2564 ถึง มกราคม 2568
Finance Executive
Thong Thai Textile Co.,Ltd
Myanmar
สำหรับสมาชิกเท่านั้น
Supervising daily, monthly, and annual accounting transactions
Executing month-end closing procedures and conducting meticulous balance sheet reconciliations
Performing comprehensive financial analysis to offer valuable insights and suggest enhancements
Orchestrating and simulating budgetary processes, continually monitoring actual expenditures versus budgets
Preparing monthly reconciliations for debtors and creditors
Preparing monthly reconciliations for debtors and creditors
Ensuring the precise handling of receipts and payments, and actively facilitating prompt payment procedures through diverse methods
Approving daily, weekly, and monthly payment requests to the Finance Manager in the Thailand head office via emai
Communicating changes in supplier payments and addressing other supplier-related matters with the Senior
Collaborating with relevant departments to ensure timely and accurate monthly salary payments for staff
Reviewing expenditures from relevant departments and maintaining an advanced control sheet
Executing Telegraphic Transfer (TT) processes for foreign transfers, encompassing both trade and non-trade scenarios
Coordinate physical inventory counts, investigate discrepancies in cycle counting, and resolve issues
Fulfill other financial responsibilities as and when required
เมษายน 2562 ถึง สิงหาคม 2564
Accounts Executive
Tet Lann Construction Co.,Ltd
Myanmar
สำหรับสมาชิกเท่านั้น
Manage full set accounts and ensure timely monthly closing activities
Maintain and reconcile general ledger accounts (AP, AR, Fixed Assets)
Ensure completion of all balance sheet schedules and account reconciliations promptly
Review and enhance processes and procedures for improved efficiency
Monitor cash flow requirements and oversee treasury functions
Supervise junior accounting staff
Oversee the entire procurement process and negotiate quotations
Review source documents, payment vouchers, and bank receipts
Monitor daily bank balances and conduct monthly bank reconciliations
Prepare aging reports, conduct credit risk evaluation, and follow up on debt collection
Coordinate physical inventory counts, investigate variances, and resolve issues
Manage petty cash book and oversee cash disbursements
Verify staff claim applications and expenses
Reconcile inventory ledgers with the store department register
Prepare Commercial Tax, Personal Tax computations, and submit SSB
Liaise with external parties such as suppliers, bankers, auditors, and tax agents
Infinity Group Co.,Ltd (Apr2018-Mar 2019)
Accounts Cum HR Assistant
tabProcessing daily accounting activities efficiently
tabPreparing sales invoices and maintaining an accurate accounts filing system
tabCompiling weekly confidential sales reports for presentation to management
tabManaging cash flow, including bank accounts and payment instructions
tabHandling cash and cheque collection duties, as well as banking cheques and cash
tabHandling employee expenses claims and staff reimbursements
tabAttending to staff matters, such as leave, outings, day-offs, and time-offs
tabOverseeing the purchase of office supplies, such as stationery
tabMultitasking in general administration support, including telephone answering, purchasing stationery, managing internet bills, telephone bills, etc.
tabTaking on other financial responsibilities as needed