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Skills:
Accounting, Finance, Taxation, English
Job type:
Full-time
Salary:
negotiable
- Serve as a business advisor to Bangchak Group subsidiaries, overseeing accounting, finance, taxation, and internal controls of the assigned entities, while supervising financial reporting and coordination with accounting teams and relevant departments to ensure accuracy and compliance with applicable standards.
- Coordinate closely with Bangchak's accounting and finance teams and other relevant departments to ensure smooth operations that are accurate, complete, and aligned with the policies and practices of the Bangchak Group.
- Manage cash flow and liquidity by working with the finance team to ensure sufficient funding, effective capital utilization, and propose improvements for optimal liquidity management.
- Analyze actual performance, forecasts, period comparisons, and actual versus plan performance, including review of rolling forecasts, and provide actionable insights to management to support decision-making.
- Report on financial performance and financial position of responsible entities to senior executives (CFO/CEO) and the Board of Directors of the assigned entities, as well as to the relevant supervisory line.
- Support Group and Segment FP&A activities, including budgeting, forecasting, and management reporting.
- Participate in business negotiations or executive meetings as a representative of the Finance and Accounting function, providing recommendations to support decision-making, along with other duties as assigned.
- Bachelor's degree or higher in Finance, Accounting, Economics, or related fields. A master's degree in business administration (MBA) with a focus in Finance or a Master of Accounting is a plus.
- Minimum of 5 years of experience in accounting, finance, financial analysis, or strategic planning. Certified Public Accountant (CPA) qualification is a plus.
- Strong ability to communicate and present strategic insights professionally to senior management.
- Proficiency in English, both written and verbal.
- Entrepreneurial (Owner) mindset with a positive, proactive attitude, strong multitasking ability, and proven effectiveness under pressure.
- Understanding the energy industry and large corporate structures is an advantage.
Experience:
No experience required
Skills:
Accounting, Thai
Job type:
Full-time
Salary:
฿18,000 - ฿23,000, negotiable
- LIVE TO FLOW กำลังตามหา คนเก่งบัญชีธุรการ มาร่วมทีม! .
- รายได้ 18,000-23,000 บาท.
- ละเอียด รอบคอบ จัดการเอกสารเก่ง.
- ชอบงานตัวเลข และงานหลังบ้าน.
- ใช้ Excel / Google Sheets ได้.
- ประสานงานเก่ง ทำงานเป็นระบบ.
- อยากทำงานในบริษัทสาย Live Commerce ที่กำลังเติบโต.
- หามีประสบการณ์งานด้าน E Commerce หรือ Content จะพิจารณาเป็นพิเศษ.
- เราอาจกำลังตามหาคุณอยู่! .
- ตำแหน่ง: บัญชีธุรการ (Accounting & Admin).
- จัดทำและตรวจสอบเอกสารบัญชี.
- บันทึกรายรับ-รายจ่าย และเอกสารที่เกี่ยวข้อง.
- จัดการเอกสารธุรการของบริษัท.
- ประสานงานกับทีมภายในและคู่ค้า.
- งานอื่น ๆ ที่เกี่ยวข้องกับบัญชีและงานแอดมิน.
- เงินเดือน: รายได้ 18,000-23,000 บาท.
- วันทำงาน จันทร์ - เสาร์.
- เวลาทำงาน 09.00-18.00.
- สถานที่ Live to flow เกษตร นวมินทร์ https://maps.app.goo.gl/eUdNVPQwj85bVj828.
Skills:
Accounting, Compliance, SAP, English
Job type:
Full-time
Salary:
negotiable
- Process and verify vendor invoices, employee reimbursements, and payment requests accurately and in a timely manner.
- Prepare payment documents and coordinate payment processing with internal stakeholders and banks.
- Reconcile vendor statements and resolve invoice or payment discrepancies.
- Ensure supporting documents are complete and comply with company policies and internal controls.
- Tax Compliance.
- Prepare and process VAT and Withholding Tax (WHT) transactions in compliance with Thai Revenue Department regulations.
- Prepare tax reports and supporting documents for monthly tax filings (e.g., PP30, PND3, PND53).
- Ensure accurate tax coding and compliance for all AP transactions.
- SAP & Financial Operations.
- Record accounting transactions and maintain accurate financial data in the SAP system.
- Monitor AP-related entries and ensure transactions are properly posted in SAP.
- Support month-end closing activities, including AP reconciliations and accruals.
- Assist in maintaining accurate accounting records and supporting documentation.
- Financial Support & Coordination.
- Coordinate with vendors, internal departments, and external parties regarding invoices, payments, and accounting matters.
- Support internal and external audits by preparing required documentation.
- Assist with process improvement initiatives to enhance AP and accounting efficiency.
- Perform other finance and accounting duties as assigned.
- Bachelor's degree in Accounting, Finance, or a related field.
- 3 - 5 years of experience in Accounting or Finance, with hands-on experience in Accounts Payable (AP)..
- Strong knowledge of VAT, Withholding Tax (WHT), and Thai tax regulations..
- Hands-on experience using SAP.
- Good understanding of accounting principles and financial processes.
- Proficient in Microsoft Excel and Microsoft Office applications.
- Experience in infrastructure, construction, real estate, or data center businesses is an advantage.
- Good command of English, both written and spoken.
Job type:
Full-time
Salary:
negotiable
- Oversee the preparation and submission of monthly and annual financial reports for all venues.
- Analyze financial data, including trends, variances, and performance metrics, to provide actionable insights to the GGM and other senior leaders.
- Present comprehensive financial reporting to senior management summarizing key financial metrics and performance, and offering recommendations for improvement.
- Track and monitor budget performance, providing monthly forecasts and adjusting financial projections.
- Implement and manage cost control systems to ensure financial efficiency across all venues, focusing on food and beverage costs, labor cost, and overhead expenses.
- Perform cost-benefit analyses on menu items, ingredients sourcing, and supplier contracts to ensure maximum profitability.
- Oversee inventory management, ensuring that inventory systems are accurate and reflect the actual usage of goods.
- Manage cash handling and banking activities, ensuring compliance with company policies and safeguarding financial assets.
- Ensure compliance with all relevant financial regulations, including local tax laws, reporting requirements, and industry standards.
- Work closely with Operations Directors, Culinary Directors, and other senior leaders to ensure financial alignment with operational strategies.
- Coordinate with TMG Accounting on monthly P&L reporting, ensuring timely and accurate financial data is provided to the team.
- Lead a small team of F&B accountants, providing guidance, training and mentorship to ensure adherence to company policies and accurate financial reporting.
- Minimum of 5-7 years of experience in Financial management, with at least 1 years in a senior cost control finance role withing the F&B, Horeca or hospitality industry.
- Proven expertise in budget management, cost control, and P&L reporting in multi-venue operations.
- Strong understanding of accounting principles, financial regulations, and compliance standards.
- Experience with F&B-specific financial management tools (e.g., Sage, Quickbooks, etc.).
- Degrees in Accounting, Finance, or related field; professional certification (e.g., CPA, ACCA) are preferred.
- Fair to good in English (Conversational), Thai language skills are highly desirable.
Skills:
Accounting, Financial Analysis, Finance, English
Job type:
Full-time
Salary:
negotiable
- Provide accurate and insightful financial reports and presentations for management to support strategic business decisions and performance monitoring.
- Ensure all routine financial and management reports are delivered accurately, timely, and in compliance with group reporting standards and policies.
- Supervise accounting operations and support month-end/year-end closing processes to ensure completeness and accuracy of financial information.
- Prepare consolidation reports, variance analysis, and management commentary for both local and group reporting purposes.
- Coordinate with cross-functional teams and overseas entities to ensure smooth consolidation and reporting processes.
- Ensure the setup and implementation of new business entities or structures related to consolidation and reporting are properly established.
- Design and improve financial dimensions, reporting structures, and system flows to support management requirements and consolidation processes.
- Support system enhancement projects and process improvement initiatives related to financial reporting and data management.
- Maintain strong internal controls and ensure compliance with accounting standards, company policies, and regulatory requirements.
- Perform ad-hoc financial analysis and other related duties as assigned.
- 5 - 8 years of experience in Management Reporting, Financial Reporting, or Consolidation, preferably in multinational, FMCG, or manufacturing environments.
- Bachelor's or Master's degree in Accounting, Finance, Business Administration, or related fields.
- Strong knowledge of consolidation processes, financial analysis, and management reporting.
- Experience with ERP and reporting systems such as SAP, SAP BPC, Microsoft Dynamics 365, or other financial reporting tools.
- Familiarity with financial systems implementation or enhancement projects would be an advantage.
- Strong analytical thinking, attention to detail, and problem-solving skills.
- Excellent time management and organizational skills with the ability to manage multiple priorities.
- Superior data management, reporting, and data analysis capabilities.
- Good communication and interpersonal skills with the ability to coordinate across functions.
- Good command of both written and spoken English.
Skills:
Accounting, Compliance, Finance, English
Job type:
Full-time
Salary:
negotiable
- Maintain and update accounting records and files.
- Perform monthly, quarterly, and annual accounting closing and balance sheet reconciliation.
- Conduct accounting analysis and summarize all concerned issues with appropriate recommendations.
- Identify GAAP differences between local accounting standards and group accounting policies and prepare adjustment entries for consolidation purposes.
- Prepare financial statements and ensure accuracy, completeness, and compliance with local accounting standards.
- Supervise the completion of local tax filing.
- Corporate consolidation function.
- Assist in monthly, quarterly, and annual consolidation closing and prepare appropriate financial statements.
- Ensure that all consolidated financial statements are prepared by relevant accounting standards and SET rules/regulations.
- Continuously evaluate, improve, implement, and monitor key consolidation and reporting processes.
- Prepare and verify consolidated data to ensure proper accounting procedures have been followed.
- Analyze consolidated management accounts, including identifying key concerned issues and coming up with appropriate recommendations.
- Coordinate with external auditors and accounting teams to complete quarterly financial statement reviews and annual audits.
- Bachelor's Degree or Master's (Preferred) in Accounting and Finance or any related fields.
- Minimum 5 years of experience in related roles.
- Strong accounting and analytical skills.
- Demonstrated strong leadership, team building, and advanced coaching skills.
- SAP experience is a plus.
- Good English skills.
Skills:
Accounting, Compliance, Accounts Receivable, English
Job type:
Full-time
Salary:
negotiable
- Supervise, manage, and complete monthly account closing within target days of the following month in compliance with financial reporting standards.
- Prepare and review monthly, quarterly, and annual financial statements, including Variance Analysis reports comparing Actual vs. Budget.
- Analyze and perform balance sheet reconciliation, profit and loss analysis, sales/revenue recognition, and bank reconciliation.
- Prepare, review, and deliver the Monthly Management Report.
- Review and approve account categorization, posting, and journal adjustment entries.
- Strong ability to communicate and present financial performance and financial position to management.
- Budgeting & Financial Control.
- Prepare the department's budget plan and review/approve expenses in accordance with authorized delegation limits.
- Verify supporting documents for disbursements and payments.
- Supervise debt collection, track accounts receivable, and coordinate legal proceedings when necessary.
- Costing.
- Review, compare and analyse costing of the manufacturing goods.
- Plan, prepare, and manage BOI reporting and related accounting processes.
- Review, control, and submit statutory tax filings accurately and on schedule.
- Coordinate with and support external auditors during audits.
- Review and update accounting policies and Work Instructions (WI) to align with company policies and professional accounting standards.
- Set goals, monitor team performance, provide feedback, and develop individual staff members.
- Support the implementation and compliance of quality and management systems (ISO 9001, ISO 14001, ISO 45001, FSSC 22000, and other related standards).
- Perform other tasks as assigned by direct superiors.
- Bachelor's Degree or higher in Accounting.
- Minimum of 10 years of experience in accounting and related field, with at least 3 years at Assistant Manager or Manager level..
- Proven experience in tax planning, financial closing, and budgeting.
- Hands-on experience in Costing, Fixed Asset accounting and BOI accounting processes.
- Valid CPD (Continuing Professional Development) Accountant License.
- Skills & Competencies;.
- In-depth knowledge of accounting standards (TFRS 6 / IFRS 6), financial reporting, and tax regulations.
- Proficiency in accounting software, ERP systems, and Microsoft Office.
- Strong calculation, financial analysis, time management, and problem-solving skills.
- High level of integrity, professional ethics, meticulous attention to detail, and ability to handle urgent tasks under pressure.
- Working knowledge of ISO 9001, ISO 14001, ISO 45001, and FSSC 22000 management systems is preferred.
- Proven accounting/finance background in Mining, Extraction, Heavy Industry, or Natural Resources sector (special consideration)..
- Coordinate with external auditors/tax, and government authorities to ensure that the company's accounting practice follows all relevant TFRS/IFRS standards and statutory requirements.
- Good command of English, both written and spoken.
Experience:
15 years required
Skills:
Financial Reporting, Data Analysis, Recruitment, Accounting, Leadership Skill
Job type:
Full-time
Salary:
negotiable
About Agoda At Agoda, we bridge the world through travel. Our story began in 2005, when two lifelong friends and entrepreneurs, driven by their passion for travel, launched Agoda to make it easier for everyone to explore the world. Today, we are part of Booking Holdings [NASDAQ: BKNG], with a diverse team of over 7,000 people from 90 countries, working together in offices around the globe. Every day, we connect people to destinations and experiences, with our great deals across our millions of hotels and holiday properties, flights, and experiences worldwide. No two days are the sa ...
Experience:
6 years required
Skills:
Financial Reporting, Risk Management, Recruitment, Accounting, Automation
Job type:
Full-time
Salary:
negotiable
About Agoda At Agoda, we bridge the world through travel. Our story began in 2005, when two lifelong friends and entrepreneurs, driven by their passion for travel, launched Agoda to make it easier for everyone to explore the world. Today, we are part of Booking Holdings [NASDAQ: BKNG], with a diverse team of over 7,000 people from 90 countries, working together in offices around the globe. Every day, we connect people to destinations and experiences, with our great deals across our millions of hotels and holiday properties, flights, and experiences worldwide. No two days are the sa ...
Skills:
Contracts, Compliance, Accounting, English
Job type:
Full-time
Salary:
negotiable
- Oversee the preparation and submission of monthly and annual financial reports for all venues.
- Analyze financial data, including trends, variances, and performance metrics, to provide actionable insights to the GGM and other senior leaders.
- Present comprehensive financial reporting to senior management summarizing key financial metrics and performance, and offering recommendations for improvement.
- Track and monitor budget performance, providing monthly forecasts and adjusting financial projections.
- Implement and manage cost control systems to ensure financial efficiency across all venues, focusing on food and beverage costs, labor cost, and overhead expenses.
- Perform cost-benefit analyses on menu items, ingredients sourcing, and supplier contracts to ensure maximum profitability.
- Oversee inventory management, ensuring that inventory systems are accurate and reflect the actual usage of goods.
- Manage cash handling and banking activities, ensuring compliance with company policies and safeguarding financial assets.
- Ensure compliance with all relevant financial regulations, including local tax laws, reporting requirements, and industry standards.
- Work closely with Operations Directors, Culinary Directors, and other senior leaders to ensure financial alignment with operational strategies.
- Coordinate with TMG Accounting on monthly P&L reporting, ensuring timely and accurate financial data is provided to the team.
- Lead a small team of F&B accountants, providing guidance, training and mentorship to ensure adherence to company policies and accurate financial reporting.
- Minimum of 3-5 years of experience in Financial management, with at least 1 years in a senior cost control finance role withing the F&B, Horeca or hospitality industry.
- Proven expertise in budget management, cost control, and P&L reporting in multi-venue operations.
- Strong understanding of accounting principles, financial regulations, and compliance standards.
- Experience with F&B-specific financial management tools (e.g., Sage, Quickbooks, etc.).
- Degrees in Accounting, Finance, or related field; professional certification (e.g., CPA, ACCA) are preferred.
- Fair to good in English (Conversational), Thai language skills are highly desirable.
Experience:
8 years required
Skills:
Financial Reporting, Accounting, Leadership Skill
Job type:
Full-time
Salary:
negotiable
- Supervise daily accounting transactions.
- Ensure accuracy of all journal entries, intercompany transactions, and balance sheet reconciliations.
- Review and approve accounting records, adjusting entries, and ensure proper supporting documentation for all transactions.
- Support month-end and year-end closing activities to meet internal and regulatory timelines.
- Lead process improvement initiatives to enhance efficiency and control in accounting operations.
- Financial Closing & Reporting.
- Prepare or review monthly and quarterly financial statements, trial balances, and supporting schedules.
- Ensure compliance with TFRS and BOT reporting requirements.
- Prepare or review the consolidation package, financial reports, and BOT Regulatory reports.
- Support preparation of disclosure notes, MD&A data, and variance analysis for management review.
- Liaise with auditors to provide information, resolve audit queries, and ensure timely audit completion.
- Accounting Control & Compliance.
- Maintain accuracy and completeness of accounting records in Oracle system and ensure transactions are correctly recorded.
- Perform balance sheet review and ensure timely clearing of outstanding accounts.
- Strengthen internal controls, accounting policies, and compliance with company SOPs and audit requirements.
- System & Process Improvement.
- Participate in UAT testing, system enhancement, and new product launches, ensuring accounting impacts are correctly set up and tested.
- Identify opportunities to improve workflow efficiency, automation, and reporting accuracy.
- Collaborate with Finance, Risk, and IT teams to strengthen data flow and integration between systems.
- Team Leadership & Collaboration.
- Supervise a team of accounting staff, providing coaching, on-the-job training, and performance feedback.
- Coordinate closely with Finance, Treasury, Risk, and Business teams to support operations and reporting needs.
- Foster a strong culture of accuracy, accountability, and continuous improvement within the accounting team.
- Bachelor's degree in Accounting or Finance (Master's preferred).
- CPA license required.
- Minimum 8-12 years of experience in accounting, with at least 3-5 years in a supervisory or managerial role in a financial services, leasing, or hire purchase company.
- Strong understanding of Thai Financial Reporting Standards (TFRS) and BOT/SEC/SET reporting requirements.
- Proficient in ERP systems (Oracle, SAP) and Microsoft Excel; experience in automation tools is an advantage.
- Strong attention to detail, analytical mindset, and ability to work under pressure and tight deadlines.
- Good command of Thai and English, both written and spoken.
- Core Competencies.
- Accuracy and Execution Excellence.
- Regulatory and TFRS Compliance.
Skills:
Accounting, Financial Analysis, Financial Reporting
Job type:
Full-time
Salary:
negotiable
- Experience in Financial/Accounting Industry or Consulting Industry experience is required.
- Minimum Bachelor's degree or equivalent.
- At least 3 years of experience in transformation relevant to financial, accounting, financial analysis, financial modelling, financial reporting experience and/or IFRS or TFRS or other finanial accounting standards.
- Functional.
- Ability to work in a team environment delivering functional support that meets requirements working to a timeline.
- Ability to articulate and clearly communicate complex problems and solutions in a simple and logical manner.
- Well-developed analytical skills and the ability to provide clarity to complex issues and synthesize large amounts of information.
- Able to work independently.
- Consulting and partnering with our clients to help them in complex business analysis engagements for clients within the finance and accounting sector.
- Act as a point of contact for both internal and external parties to ensure smooth and consistent communication flow of business/functional requirements.
- Gather and analyze business requirements and translate them into functional requirements specification or user stories.
- Assess and evaluate business process, business model, and organization to identify areas of improvements, define/propose potential business and technology solution to enhance business performance.
- Communicate with other teams and stakeholders to identify, monitor and resolve functional dependencies.
Experience:
5 years required
Skills:
Problem Solving, Accounting, Taxation, English, Thai
Job type:
Full-time
Salary:
negotiable
Zuellig Pharma is a leading healthcare solutions company in Asia, and our purpose is to make healthcare more accessible to the communities we serve. We provide world-class distribution, digital, and commercial services to support the growing healthcare needs in this region. The company was started a hundred years ago and has grown to become a multibillion-dollar business covering 17 markets with over 12,000 employees. Our people serve more than 200,000 medical facilities and work with over 450 clients, including the top 20 pharmaceutical companies in the world. Roles and Responsibi ...
Experience:
6 years required
Skills:
Financial Reporting, Risk Management, Recruitment, Accounting, Automation
Job type:
Full-time
Salary:
negotiable
About Agoda At Agoda, we bridge the world through travel. Our story began in 2005, when two lifelong friends and entrepreneurs, driven by their passion for travel, launched Agoda to make it easier for everyone to explore the world. Today, we are part of Booking Holdings [NASDAQ: BKNG], with a diverse team of over 7,000 people from 90 countries, working together in offices around the globe. Every day, we connect people to destinations and experiences, with our great deals across our millions of hotels and holiday properties, flights, and experiences worldwide. No two days are the sa ...
Skills:
Accounting
Job type:
Full-time
Salary:
negotiable
- ตรวจสอบรายการและบันทึกสินทรัพย์ (Fixed Assets).
- กระทบยอดข้อมูลทะเบียนทรัพย์สินกับบัญชีแยกประเภท (GL).
- ตรวจสอบ คำนวณ ค่าเสื่อมราคารายเดือน และบันทึกบัญชีต่างๆ ที่เกี่ยวข้องกับบัญชีสินทรัพย์.
- เป็นหลักในทีมบัญชี ตรวจนับสินทรัพย์.
- ประสานงานกับหน่วยงานที่เกี่ยวข้องเพื่อรวบรวมข้อมูลและเอกสารด้านทรัพย์สิน.
- วุฒิการศึกษา ปริญญาตรี สาขาการบัญชี ยินดีรับนักศึกษาจบใหม่.
- หากมีประสบการณ์ 1-2 ปี และการใช้โปรแกรมบัญชี (ERP) จะได้รับการพิจารณาเป็นพิเศษ.
- ทักษะคอมพิวเตอร์ สามารถใช้ Microsoft Excel และ Word ได้ดี.
- มีความละเอียดรอบคอบ ซื่อสัตย์ เข้ากับเพื่อนร่วมงานได้ สื่อสารได้ดี และมีความรับผิดชอบต่องานที่ได้รับมอบหมาย.
- รับผิดชอบงานหลายบริษัทในรายการลักษณะเดี่ยวกันได้.
- พร้อมปฏิบัติงานต่างจังหวัด (ในช่วงที่ตรวจนับสินทรัพย์เท่านั้น).
Experience:
2 years required
Skills:
Accounting
Job type:
Full-time
Salary:
negotiable
- AR / GR Accounting Operations.
- Supervise and review daily AR/GL accounting transactions to ensure completeness and accuracy.
- Oversee customer billing, invoicing, credit notes, debit notes, receipts, and other receivable transactions.
- Ensure timely and accurate recording of customer receipts and allocation against outstanding invoices.
- Monitor customer account balances and investigate unusual or long-outstanding items.
- Review AR/GR sub-ledger reconciliations to the General Ledger.
- Ensure timely resolution of unidentified receipts, unapplied cash, and reconciliation differences.
- Review intercompany receivable transactions and perform appropriate reconciliations where applicable.
- Month-End / Year-End Closing.
- Lead AR/GL activities during monthly and year-end closing.
- Ensure all revenue and receivable transactions are recorded in the appropriate accounting period.
- Review revenue cut-off, accruals, provisions, credit notes, and other AR-related closing entries.
- Prepare and review supporting schedules and account reconciliations for financial reporting.
- Ensure AR/GL balances are properly supported and reconciled before closing.
- Receivable & Collection Monitoring.
- Monitor.
- AR Aging.
- and overdue receivables.
- Coordinate with Sales and Commercial teams regarding overdue accounts, customer disputes, and collection issues.
- Identify potential collection risks and escalate significant overdue balances to management.
- Monitor.
- DSO / collection performance.
- and provide regular reports to management.
- Support the development and implementation of credit control and collection procedures.
- Tax & Statutory Compliance.
- Review AR-related VAT transactions and ensure appropriate tax treatment.
- Ensure proper issuance and control of tax invoices, receipts, credit notes, and debit notes.
- Coordinate with the Tax team on VAT and withholding tax matters relating to customer transactions.
- Support statutory tax filings and respond to tax-related queries when required.
- Internal Control & Process Improvement.
- Ensure compliance with Company accounting policies, procedures, internal controls, and applicable Thai accounting and tax requirements.
- Identify control weaknesses and recommend improvements.
- Improve AR/GL processes to increase efficiency, accuracy, and timeliness.
- Support automation and enhancement of accounting systems and reporting processes.
- Establish appropriate review and approval controls within the AR/GL process.
- Audit & Reporting.
- Prepare and review schedules and support documents requested by internal and external auditors.
- Coordinate with auditors on AR/GL-related audit queries.
- Prepare regular AR/GL reports and management information.
- Provide analysis of receivable balances, aging, collection performance, and significant movements.
- Support preparation of financial statements and management reporting as required.
- Team Management.
- Supervise, coach, and develop AR/GL team members.
- Allocate workload and monitor completion of daily and month-end activities.
- Review the quality and accuracy of team members' work.
- Provide technical accounting guidance and support to team members.
- Establish clear performance expectations and support continuous improvement within the team.
- Bachelor's degree in accounting.
- 5-8 years of accounting experience, with at least 2-3 years in a supervisory or senior-level AR/accounting role.
- Strong experience in.
- Accounts Receivable and General Ledger / General Receivable accounting.
- Good knowledge of.
- Thai accounting principles (TFRS).
- and relevant Thai tax regulations, particularly VAT and withholding tax.
- Experience with month-end and year-end closing processes.
- Strong experience in account reconciliation and financial reporting.
- Experience supervising and developing accounting staff.
- Good analytical and problem-solving skills.
- Strong attention to detail and ability to work under closing deadlines.
- Good communication and coordination skills with both finance and non-finance functions.
- Proficiency in Microsoft Excel and experience with ERP/accounting systems.
- Good command of English would be an advantage, particularly for companies with international operations or group reporting requirements.
- RMA Group is an equal opportunity employer, with a diverse group of colleagues globally representing different cultures, backgrounds, and beliefs. Our values of Innovation, Integrity, and Endurance are embedded in what we do, and we welcome applicants who are committed to respecting diversity of thought and living our values on a day-to-day basis.
Experience:
5 years required
Skills:
Accounting
Job type:
Full-time
Salary:
negotiable
- Maintain accurate and up-to-date records of accounts payable, ensuring timely payments and minimizing financial discrepancies for closing monthly report to ensure compliance accounting standards of Company.
- Cooridate with auditor and support to complete annual audited financial statement.
- Support operation team offer recommendations ideas to improve the efficiency of your assigned area of work, protect errors, or tax-related implications and supervise and train junior accounting staff.
- To maintain and update accounting records and systems to ensure compliance with all applicable laws and regulations and cash management.
- To stay up-to-date on the latest accounting practices and regulation.
- Ad-hoc tasks as assigned.
- Key Qualification.
- Bachelor's degree in accounting.
- Experience 5-7 Years in accounting tasks and multinational companies.
- Experience in the fields of real estate business, food courst business and retail business specialising in books, stationery, office supplies, IT, gadget, art&crafts, etc.
- Excellent Microsoft office(Outlook, Excel, Word, PowerPoint, etc.).
- Experience using in ERP or other related accounting programs, knowledge in POS software and computer literacy.(SAP S4/Hana, Argentro, etc.).
- Strong work ethics, handling AP (local, overseas, shipment), interpersonal skills and willing to learn,.
- Reconcile AP, all AP, others related with AP transactions aging by monthly report.
- Reconcile input VAT submit to TRD and deferred input VAT outstanding.
- Prepare monthly tax filling (PND.3,53,54, P.P.36 and P.P.30 in AP part (purchase input VAT report)) and submit to GL and tax team.
- Details oriented, well-organized, and able to follow standard filing procedures.
Skills:
Accounting
Job type:
Full-time
Salary:
negotiable
- บันทึกบัญชีรายการค้างรับและค้างจ่ายประจำงวด เช่น Payroll, Bonus, เงินปันผล, ค่าใช้จ่ายให้หุ้นพนักงาน, เงินเกษียณอายุ (ความซับซ้อนในแต่ละ Entity).
- ปรับปรุงรายการบัญชีที่ได้รับการร้องขอจากหน่วยงานอื่น.
- กระทบยอดบัญชีธนาคารและการบันทึกรายการที่เกี่ยวข้องกับเงินกู้.
- กรณีการกระทบยอดบัญชีธนาคาร.
- กรณีการบันทึกรายการที่เกี่ยวข้องกับเงินกู้.
- ทบทวนและปรับปรุงมูลค่ารายการทางการเงิน.
- บันทึกและยื่นภาษีหัก ณ ที่จ่าย.
- กรณีการบันทึกและยื่นภาษีหัก ณ ที่จ่าย รวมถึงภาษีมูลค่าเพิ่ม ภ.พ.36.
- กรณีการขอหนังสือรับรองการเสียภาษีหัก ณ ที่จ่ายเป็นภาษาอังกฤษ.
- บันทึกและยื่นภาษีมูลค่าเพิ่ม.
- บันทึกภาษีเงินได้นิติบุคคลประจำเดือน.
- บันทึกและยื่นภาษีธุรกิจเฉพาะ.
- ปิดบัญชีแยกประเภทและบัญชีรายวัน.
- กรณีการ Maintain Stat Key Figure และการปันส่วนค่าใช้จ่าย SG&A.
- จัดทำและนำส่งงบการเงิน รวมทั้งรายละเอียดประกอบงบการเงิน.
- Education (การศึกษา): ปริญญาตรีหรือโท สาขาบัญชี.
- Experience (ประสบการณ์): ประสบการณ์ด้านบัญชีการเงิน 3-5 ปีขึ้นไป.
- ความรู้และทักษะในการใช้งาน MS Office (Word, Excel, Power Point).
- ทักษะการใช้คอมพิวเตอร์ (การพิมพ์ตามค่ามาตรฐาน).
- ความรู้ความเข้าใจด้านการบัญชีให้เป็นไปตามหลักการบัญชี และมาตรฐานการบัญชีที่รับรองทั่วไป และความรู้ความเข้าใจกฎหมายภาษีอากรเป็นอย่างดี.
- ความรับผิดชอบ ความแม่นยำ ความละเอียดรอบคอบ.
- ความสามารถในการใช้และสื่อสารภาษาอังกฤษเบื้องต้น.
- สามารถทำงานภายใต้ภาวะเร่งด่วน และวางแผนการทำงานได้อย่างมีประสิทธิภาพ.
- ไหวพริบปฏิภาณ แก้ไขปัญหาเฉพาะหน้าได้ดี.
Skills:
Accounting
Job type:
Full-time
Salary:
negotiable
- Gulf Group.
- Completing day-to-day accounts payable activities and operations, including managing and maintaining accounts payable, ensuring accuracy and timeliness.
- Preparing and submitting the documents in relation to Withholding Tax and VAT in a timely manner.
- Preparing the reconciliation of the bank accounts and other relevant control accounts and completing month-end/year-end activity to agreed lead-time.
- Processing the receipt of invoices, verify, and record of transaction, ensuring accuracy, completeness and the proper authorization in accordance with company's policies and regulation.
- Processing all vouchers posted and direct them into accounts payable system for accuracy before check is signed.
- Verifying vendor accounts, paying vendors, and resolving purchase order, invoice, or payment discrepancies.
- Developing effective relationships with stakeholder's government institutions and regulatory agencies in a governance compliance manner.
- Job Qualifications.
- Bachelor's degree or higher in accounting.
- Minimum 3-5 years' experience in accounting (AP) or related fields.
- Experience in Navision or SAP and CPA would be an advantage.
- Good basic tax knowledge.
- Good leadership skills with strong sense of ownership and accountability.
- Good team management skills to bring the team together and align in the right direction.
- Fluent in English both written and verbal (Minimum 750 TOEIC score).
- Ability to use MS office (For MS Excel-using formulas).
- Goal - Oriented, Unity, Learning, Flexible.
Experience:
5 years required
Skills:
Accounting
Job type:
Full-time
Salary:
negotiable
- Deliver high quality teaching across a range of Business and Hospitality courses, with a focus on Finance and Accounting, at Levels 3, 4, 5, 6 and 7.
- Design and implement innovative teaching materials, lesson plans, and schemes of work that leverage digital tools and Virtual Learning Environments (VLEs).
- Assess, grade, and provide constructive feedback on student work in accordance with institutional guidelines and assessment policies.
- Provide academic and pastoral support to students; maintain accurate attendance records and implement early interventions to support engagement and success.
- Timely marking of registers to ensure accurate data and early interventions in relation to attendance and use data effectively to monitor the effectiveness of provision and to identify where early interventions are required.
- Strong focus on understanding and the management of data in relation to retention, achievement and student success rates.
- Preparing reports and references for students as necessary.
- Having a flexible approach to attending open evenings, parents' events and marketing / promotional events etc.
- Undertaking professional development to keep up to date with legislation, initiatives and good practice.
- Accompanying students on external visits as required.
- Positively contribute to a safe learning and work environment ensuring compliance with Health and Safety, Equality and Diversity and Safeguarding.
- Any other duties commensurate with the post.
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