Treasury Accountant
Mô tả công việc
• Checking PO related to Trading terms to ensure all figures and supporting documents match the signed agreement and complied with the Accounting and Tax regulation.
• Prepare Monthly Debt & Surplus Report
• Implement and follow up all payment process as company’s policy (Local, overseas, import tax, VAT, WHT, CIT, PIT)
• Store payments documents/Bank advice… in a scientific and secure way.
• Recording FX revaluation at the end of the month
• Follow up OD/Loan and FD processes with banks (interest rate, transfer/withdraw cash, create FD Agreement)
• Prepare bank reconciliation timely and accurately at the end of the month.
• Ensure posting and recording sales travel expenses transactions in SAP system.
• Checking sales travel expenses request’s documents according to the Accounting and Tax compliance (legalization, reasonableness and correctness of suppliers’ invoices and other supporting documents)
• Work with bank to take FX deal, interest rate, process documents (DP, DA, LC method), register bank’s signature.
Quyền lợi
Cập nhật gần nhất lúc: 2025-11-02 23:30:04

MARICO SOUTH EAST ASIA CORPORATION
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