Techtronic industries vietnam manufacturing company limited
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Receiving PR, PO, Invoices, Goods Receipt Note (“GRN”) for checking and booking into the system correctly and timely;Checking Vendor forms for creating new vendors;Month- end closing such as: Booking...
TRÁCH NHIỆM CỤ THỂ• Hoạch toán các khoản chi phí phát sinh trong tháng và các khoản chi phí trích trước phân bổ chi phí• Đối chiếu phát sinh thu, chi, tồn quỹ tiền mặt với thủ quỹ cuối mỗi ngày đảm...
Huong thuy manufacture service trading corporation
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JOB DESCRIPTIONSSupport accountants in general tasks.Store accounting data according to regulations.Check that the ending balance of all accounts is reasonable and matches the detailed...
Handle Accounts Payable (AP) operations.Follow up cash advance, oversee payment.Update, record and enter data in PO into SAP accounting software.Ensure VAT input invoices and other tax- related...
Thanh toán – Tiền mặt• Tiếp nhận, kiểm tra tính hợp lệ của đề nghị thanh toán từ các phòng ban (phiếu chi, đề nghị tạm ứng, hoàn ứng...).• Quản lý và đối chiếu quỹ tiền mặt hàng ngày, lập báo cáo tồn...
Mô tả công việc· Responsible for reporting data to local and holding companies· Carry out other specified duties and functions as directed by the supervisor/manager· In charge of all accounts payable...
Monitor, follow up and ensure the payment to be paid to suppliers on time.Handle payment (bank and petty cash transactions), and payable accounting function.Reconciliation of the in- charge...
Receiving PR, PO, Invoices, Goods Receipt Note (“GRN”) for checking and booking into the system correctly and timely;Monthly account payable reconciliation and yearly AP balance confirmation with...
Techtronic industries vietnam manufacturing company limited
Xem nhanh
Receiving PR, PO, Invoices, Goods Receipt Note (“GRN”) for checking and booking into the system correctly and timely;Following up closely payables to suppliers to make sure no overdue account...
- Make payment for local service and non- service.- Follow/Update debit note number and give debit note to every department- Make payment for all salary (local and foreign)/Trade union/PIT/ Social...
Lưu trữ hồ sơ thanh toán, hóa đơn đầu vào hàng tháng bản scan và hồ sơ giấy.Lập phiếu thu, phiếu chi tiền mặt.Tạo lệnh thanh toán internet banking cho thanh toán trong nước, và thanh toán quốc...
To maintain files and documentation thoroughly and accurately, in accordance with company policy and accepted accounting practicesTo ensure that the journal entries in the payable vouchers are proper...
Đảm bảo tất cả hóa đơn đều có đầy đủ chứng từ và phê duyệt phù hợp trước khi xử lý. Kiểm tra và đối chiếu hóa đơn và lệnh giao hàng với đơn đặt hàng hoặc yêu cầu mua hàng.Hỗ trợ đối chiếu danh sách...
We are seeking anAccounts Payable Specialistto manage the end- to- end AP process, ensuring timely and accurate payments to vendors. This role requires collaboration across departments, efficient...
Job purpose:Handle Accounts Payable (AP) operations.Other tasks assigned by Finance Manager/SupervisorDuties and responsibilities:Reconcile payable balances with vendor’s statement.Assist in audits...
Manage and oversee non- trade accounts payable and cost, is typically focused on overseeing and controlling expenses that are not directly related to the core business operations or trading...
Account Payable: A/P Process for relating non- stock items, include but not limit to:Utilities: Electricity charges, water charges, telephone charges, internet charges, mobile chargesTransportation...
Job Summary:We are seeking an Account Payable Accountant to join our dynamic team. You will play a pivotal role in operating and recording data of account payable and expense functions.Responsibiliti...
Responsible for managing accounts payable using accounting software, handling accounts payable for separate entities and vendors and ensuring bills are paid in a timely and accurate manner while...
Perform Payable Accounting tasks (Daily)- Process the payable (invoices) and cost posting:- Arrange deposits or advances for suppliers- Reconcile the accounts payable ledger to ensure that all...
RESPONSIBILITIES AND MEANSTRÁCH NHIỆM VÀ NHIỆM VỤ• To ensure the legitimacy and accuracy of the account payable ageing balances.Đảm bảo tính hợp pháp và chính xác của số dư công nợ theo tuổi nợ• To...
To assist the group finance manager in preparing HK Action’s bank- related reports.Assist the finance supervisor to handle other related issues.To prepare HK Action’s bank transaction vouchers and...
- Process supplier invoices, cheque requests and expense claims into the accounts payable system on a timely basis after ensuring:* An appropriate general ledger account has been nominated.* An...
Act as liaison between property and armored car service or primary banking institution. Participate in internal, external, and regulatory audit processes and ensure compliance with SOPs.Organize,...
- Theo dõi và làm thủ tục nhanh chóng cho các hóa đơn đang chờ mua hàng- Kiểm tra, giám sát và phát triển qui trình thanh toán của khách sạn một cách hợp lý- Hỗ trợ bộ phận tài chính với các báo...
• Update creditors’ reconciliation to ensure our records tally with creditor’s statement• Ensure that all payment requisitions are approved by relevant Department Heads or Division Heads• Schedule...
Chi nhánh công ty tnhh kddi việt nam tại thành phố hồ chí minh
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Reconcile AP subledger with the general ledger. Follow internal controls and approval workflows. Ensure compliance with tax rules and help prevent duplicate or fraudulent payments. Supporting /...
Chi nhánh công ty tnhh kddi việt nam tại thành phố hồ chí minh
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Introduction of KDDI Vietnam Corporation- - - - - - - - - - - - - - - - - - - - - - - - - - KDDI Vietnam has more than 20 years of business history in Vietnam and has extensive experience in...
KEY RESPONSIBILITIESInvoice & Payment ProcessingManage all invoices and manual payment requests in the AP CORA Workflow system.Handle prepayments and urgent supplier payments, gaining exposure to...
PRIMARY RESPONSIBILITIESChecks the monthly statements of accounts from the suppliers against the accounts payable of the hotel.Booking entries of accounts payable.Checks the monthly Bank statements...