Mô tả Công việc FINANCIAL MANAGEMENT Monitoring cash in banks Monitoring the payment process, payable balance Preparation for external interim, final audit Work with auditors Review the documents for CIT finalization report Reconcile monthly marketing expense with MRK Dept. PAYMENT [DISBURSEMENT] Bank transfer Receiving; checking docs, invoices and prepare payment orders to suppliers Submit to get approval from BOD and send to the bank Follow up to get documents from bank Send payment docs back to other departments if they are not correct Update data in accounting software (by importing function in iScala) Reconciliation payable to suppliers with accounting software Reconciliation between sub ledgers of accounting software with bank statement Payments Management Follow up due payments Manage & Submit Weekly Payment Plan based on iScala Creditors Ageing Report by due date and FCA PR receipt date Ensure all the approved PRs are input to iScala upon receipt Answer to the requestors and suppliers about payments Filling the docs Control Accounts Process all payments for local & oversea suppliers, in charge for a/c 331100- Local suppliers; 331200 - Oversea suppliers and related bank account REPORTING Weekly/Monthly payable balance Weekly Ageing Payables Report by invoice due date/by FA document receipt date Prepare VAT input - a/c 133100 reports (monthly, yearly) re-allocated from GAE Monthly bank account balance OTHERS Do all of requirements from Financial Accounting Manager Monitoring cash in banks Monitoring the payment process, payable balance Preparation for external interim, final audit Work with auditors Review the documents for CIT finalization report Reconcile monthly marketing expense with MRK Dept. Receiving; checking docs, invoices and prepare payment orders to suppliers Submit to get approval from BOD and send to the bank Follow up to get documents from bank Send payment docs back to other departments if they are not correct Update data in accounting software (by importing function in iScala) Reconciliation payable to suppliers with accounting software Reconciliation between sub ledgers of accounting software with bank statement Follow up due payments Manage & Submit Weekly Payment Plan based on iScala Creditors Ageing Report by due date and FCA PR receipt date Ensure all the approved PRs are input to iScala upon receipt Answer to the requestors and suppliers about payments Filling the docs Process all payments for local & oversea suppliers, in charge for a/c 331100- Local suppliers; 331200 - Oversea suppliers and related bank account Weekly/Monthly payable balance Weekly Ageing Payables Report by invoice due date/by FA document receipt date Prepare VAT input - a/c 133100 reports (monthly, yearly) re-allocated from GAE Monthly bank account balance Do all of requirements from Financial Accounting ManagerYêu Cầu Công Việc BA degree At least 02 years of experience in accounting field, experience in Account Payable is preferable Experienced in using accounting software such as SAP, ERP, D365 Understand accounting policy (requirements from the government) Working under high pressure Team-work Good communication, good English Problem-solving Ms Office (Word, Excel, Power-point) Accounting software: Iscala Willing to work overtime or different assignments as requiredLaptop Chế độ bảo hiểm Du Lịch Chế độ thưởng Chăm sóc sức khỏe Đào tạo Tăng lương