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Microsoft Office, Power point
Job type:
Full-time
Salary:
negotiable
- รับผิดชอบตรวจสอบบัญชีที่รับผิดชอบ ปิดบัญชี จัดทำงบการเงินและหมายเหตุประกอบงบการเงิน สนับสนุนผู้สอบบัญชีภายนอก เพื่อรับรองงบการเงินประจำปี นำส่ง / ขอคืน ภาษีมูลค่าเพิ่ม ภาษีเงินได้นิติบุคลล ประจำปี และ กลางปี รวมถึงสนับสนุนการตรวจคืนภาษีจากสรรพากร จัดทำ Local File และ Disclosure Form(เป็นไปตามเงื่อนไขของกรมสรรพากร) สนับสนุนผู้สอบบัญชีภายนอกสำหรับการตรวจระบบ กระบวนการทำงานและ workflow เอกสาร (Audit Interim) สนับสนุนผู้สอบบัญชีภายในกรณีมีการตรวจสอบตามแผนประจำปี ตรวจสอบความถูกต้องของข้อมูลบัญชี รายการระหว่างกันกับบริษัทที่เกี่ยวข้องกัน และ งบการเงินก่อนปิดบัญชี จัดทำและยื่นแบบภาษีมูลค่ ...
- จบการศึกษาระดับปริญญาตรี สาขาการบัญชี, ระบบสารสนเทศทางการบัญชี หรือ สาขาที่เกี่ยวข้อง GPA ปริญญาตรีไม่ต่ำกว่า 2.70 TOEIC at least 550/IELTS at least 4.0/TOEFL at least 31/BULATS at least 40. มีทักษะในการใช้โปรแกรม Microsoft Office (Excel, PowerPoint etc.) มีความพร้อมในการพัฒนาตนเองในด้าน Data Analytics สามารถทำงานเป็นทีม และ ทำงานภายใต้ภาวะกดดันได้ สามารถทำงานในวันหยุดได้เป็นครั้งคราว หากทำงานต่างจังหวัดได้จะพิจารณาเป็นกรณีพิเศษ.
Skills:
Data Analysis, Accounting, Automation, Power BI, English
Job type:
Full-time
Salary:
negotiable
- Responsible for analyzing customer financial information and assessing credit risk to support appropriate credit term and credit limit decisions. The role also manages credit documentation, monitors receivables, and supports working capital efficiency, while leveraging data visualization, AI, and digital tools to enhance credit analysis and improve work processes.
- Analyze customer financial statements, payment capability, and credit risk to determine appropriate credit terms and credit limits. Coordinate with sales teams to manag ...
- Bachelor's Degree in Accounting, Finance, Economics, Business Administration, or related fields (GPAX > 2.70). Fresh graduates are welcome. Experience in Credit Management, Finance, or related fields will be an advantage. Good command of English in verbal and written communication (TOEIC > 550). Experience or hands-on skills in data visualization and data management tools such as Power BI, Power Query, SQL, or similar tools. Able to utilize AI tools for data preparation, processing, and analysis to support business decision-making. Basic knowledge of low-code/no-code platforms and workflow automation tools such as Microsoft Power Apps, Power Automate, n8n, or similar platforms. Willing to work onsite at SCG Headquarters, Bang Sue, Bangkok.
Skills:
Accounting
Job type:
Full-time
Salary:
negotiable
Education & Experience: Bachelor's degree in Accounting with minimum 2-3 years' experience in Accounting (AP). Strong knowledge of VAT and withholding tax is essential. Technical Skills: Proficiency in Microsoft Office and accounting software. Thai language literacy (reading, writing, communication) is preferred. Personal Qualities: The ideal candidate demonstrates proactive attitude with the ability to implement solutions and maintains a positive, self-motivated approach. Strong interpersonal and communication abilities are important.
Skills:
Accounts Payable, Accounting
Job type:
Full-time
Salary:
negotiable
Ready to rock the future with us? At Hellmann we put our people at the heart of everything we do, because for us, relationship matters. Joining us does not just mean becoming part of a global company. It is an invitation to shape the future of the logistics industry together with us. Our Hellmann culture is based on our four values: Caring, Entrepreneurial, Forward-Thinking and Reliable. These values resonate with yours? Then become part of our FAMILY that consists of around 10.000 employees in more than 20 locations worldwide. For the better. Together. The Accounting Operations As ...
Skills:
Accounting, Automation, Budgeting, Teamwork, Power BI, Tableau, Python, SAP, ERP, CPA, English
Job type:
Full-time
Salary:
negotiable
- (e.g., Power BI, Tableau) that provide real-time visibility for cost drivers and operational performance.
- You will be responsible for challenging the status quo, proactively transforming legacy reports into dynamic, automated solutions.
- Develop and maintain automated financial models, leveraging predictive analytics and machine learning tools to enhance forecasting accuracy and reduce manual intervention.
- Perform complex scenario analysis (make-vs-buy, in-house vs. outsource) using automated templates to allow for rapid "what-if" modeling.
- Educational Background: Bachelor's degree in finance, accounting, or a related field. (CPA/MBA or Data Analytics certification is a plus).
- 1+ years' experience in financial planning and analysis with a demonstrated interest in financial systems and process improvement.
- Experienced in MNC and understanding manufacturing environment.
- Language Proficiency: Good command of English in both written and spoken communication.
- Cost accounting: Understanding of core principle.
- Advanced Excel (Expert-level Power Query/Power Pivot usage).
- Experience with Data Visualization tools (Power BI, Tableau, or similar).
- Familiarity with ERP systems (SAP preferred).
- Bonus:* Basic understanding of automation tools (e.g., Alteryx, Python, or VBA) to streamline repetitive workflows.
- Analytical Mindset: Not just a data reporter, but a data interpreter. Ability to clean, organize, and analyze high-volume data to identify trends and anomalies. Possesses natural curiosity and a drive to dig deeper into anomalies to uncover the 'story' behind data.
- Soft Skills: Strong analytical and communication skills to effectively translate complex financial data into insights for non-financial stakeholders. Highly collaborative with a strong sense of ownership and teamwork.
- For positions requiring access to technical data, Analog Devices, Inc. may have to obtain export licensing approval from the U.S. Department of Commerce - Bureau of Industry and Security and/or the U.S. Department of State - Directorate of Defense Trade Controls. As such, applicants for this position - except US Citizens, US Permanent Residents, and protected individuals as defined by 8 U.S.C. 1324b(a)(3) - may have to go through an export licensing review process.*.
- Analog Devices is an equal opportunity employer. We foster a culture where everyone has an opportunity to succeed regardless of their race, color, religion, age, ancestry, national origin, social or ethnic origin, sex, sexual orientation, gender, gender identity, gender expression, marital status, pregnancy, parental status, disability, medical condition, genetic information, military or veteran status, union membership, and political affiliation, or any other legally protected group.*.
- Job Req Type: Experienced.
- Required Travel: Yes, 10% of the time.
- Shift Type: 1st Shift/Days.
Experience:
No experience required
Skills:
Problem Solving
Job type:
Full-time
Salary:
฿15,000+ , negotiable
- วุฒิ ปวส. / ปริญญาตรี สาขาบัญชี บริหารธุรกิจ IT หรือสาขาที่เกี่ยวข้อง (รับนักศึกษาจบใหม่).
- มีความรู้พื้นฐานด้านบัญชี และงานเอกสาร.
- ใช้ Microsoft Office ได้ดี (โดยเฉพาะ Excel).
- มีทักษะการสื่อสารและการประสานงานที่ดี.
- ละเอียดรอบคอบ รับผิดชอบ และจัดการงานได้เป็นระบบ.
- บุคลิกดี มีมนุษยสัมพันธ์ รักงานบริการ และเรียนรู้เร็ว.
- สามารถใช้ภาษาอังกฤษได้เบื้องต้น (อ่าน เขียน พูด).
- สามารถเดินทางในกรุงเทพและปริมณฑลได้.
- พิจารณาเป็นพิเศษ:มีประสบการณ์งานบัญชี.
- งานธุรการ ISO / IT Services.
- บันทึกและตรวจสอบรายการบัญชีขาจ่าย (AP) ให้ถูกต้องครบถ้วน.
- จัดทำและดำเนินการด้านการชำระเงิน (Payment Processing).
- กระทบยอดบัญชีเจ้าหนี้และจัดทำรายงานที่เกี่ยวข้อง.
- ประสานงานกับ Supplier และหน่วยงานภายใน เพื่อแก้ไขปัญหาใบแจ้งหนี้และการชำระเงิน.
- ตรวจสอบเอกสารร่วมกับฝ่ายจัดซื้อและฝ่ายปฏิบัติการก่อนการอนุมัติ.
- จัดเก็บเอกสารบัญชีให้เป็นระเบียบและสามารถตรวจสอบย้อนหลังได้.
- สนับสนุนงานตรวจสอบบัญชี (Internal / External Audit).
- ประสานงานทั้งภายในและภายนอกองค์กร.
- บันทึกข้อมูลลงระบบ และปฏิบัติงานอื่น ๆ ตามที่ได้รับมอบหมาย.
- ประกันสังคม / ประกันสุขภาพ / ประกันอุบัติเหตุ / ตรวจสุขภาพประจำปี.
- วันหยุดตามประเพณี 16 - 18 วัน/ปี และสวัสดิการตามกฎหมาย.
- โบนัสและปรับเงินเดือนประจำปี.
- ค่าเดินทางเข้าพบลูกค้า.
- การอบรมและพัฒนาทักษะความรู้.
- อาหาร ขนม เครื่องดื่มสำหรับพนักงาน.
- สวัสดิการวันเกิด / งานเลี้ยงปีใหม่ / ชุดยูนิฟอร์ม.
- สถานที่ทำงาน: อาคารสินสาธรทาวเวอร์ ชั้น 2 และ 39 ถนนกรุงธนบุรี แขวงคลองต้นไทร เขตคลองสาน กรุงเทพฯ (ใกล้ BTS กรุงธนบุรี และ BTS วงเวียนใหญ่).
- รูปแบบการทำงาน: Onsite.
- เวลาทำงาน: วันจันทร์ - วันศุกร์ เวลา 08.30 - 17.30 น.
- วันหยุด: วันเสาร์ - วันอาทิตย์.
Skills:
Accounts Receivable, Accounts Payable, Accounting
Job type:
Full-time
Salary:
negotiable
- Recording accounts receivable, accounts payable, and adjusting entries.
- Preparing asset accounting data, inventory records, supplies inventory, sales analysis reports, accounts receivable aging reports, accounts receivable confirmations, and reconciliations of relevant account balances to support financial statement preparation.
- Calculating and submitting relevant taxes, including corporate income tax, VAT, and withholding tax, to the Revenue Department.
- Preparing monthly and quarterly consolidated and separate financial statements, and submitting required information to the group consolidation team, auditors, and the SET within the specified timeline.
- Preparing and analyzing monthly and quarterly consolidated and separate financial statements for management review.
- Preparing and compiling intercompany transactions to support consolidated financial statement preparation and management reporting.
- Preparing working papers for consolidated financial statements.
- Coordinating with internal and external parties, including auditors, the Revenue Department, and internal auditors.
- Supporting the migration from SAP ECC6 to SAP S/4HANA to accommodate business expansion.
- Performing other tasks as assigned.
- Bachelor s or master s degree in Accounting or a related field.
- At least 5 years of experience in accounting, account closing, financial statement preparation, and coordination with auditors.
- At least 3 years of experience with an audit firm or a CPA license is an advantage.
- Knowledge of accounting standards and business taxation, including income tax and excise tax.
- Proficiency in SAP and Microsoft Office (Word, Excel, PowerPoint, and Outlook).
- Strong interpersonal skills, a sense of responsibility, and a willingness to learn new things.
- Strong analytical, problem-solving, and decision-making skills.
- Ability to work under pressure, manage tasks within deadlines, and collaborate effectively with others.
- Confidence in expressing opinions appropriately and constructively.
- Positive attitude with an open-minded approach to learning and teamwork.
Skills:
Accounting
Job type:
Full-time
Salary:
negotiable
- The Accounting Manager owns the Accounting and Treasury functions across Ripples Commerce and its subsidiaries: timely month-end closing under TFRS, consolidation to the holding company, Thai tax compliance, cash flow and banking operations, and A/R-A/P discipline. A key partner to the Controller and CFO in delivering clean audits, on-time reporting, and strong working capital as the company scales.
- Month-End Closing and Financial Reporting.
- Own month-end and year-end closing for all entities under TFRS; manage the closing c ...
- Review GL transactions for accurate classification; prepare trial balances, entity financial statements, and supporting schedules.
- Prepare consolidated financial statements at the holding company level, including intercompany eliminations and RPT reconciliations.
- Perform and support management reports including variance analysis vs. prior periods and budget.
- Tax and Regulatory Compliance.
- Prepare, reconcile, and file all applicable taxes on time: CIT, VAT (PP.30/36), WHT (PND.1, 3, 53, 54), SBT, stamp duty, and others; ensure records are consistent with filings and fully documented.
- Support transfer pricing documentation and RPT disclosures across the group.
- Act as primary contact for the Revenue Department and regulators; manage tax audits and inquiries; support tax planning under management direction.
- Treasury and Cash Management.
- Manage daily cash positions across all entities; maintain cash balance per the company's liquidity policy.
- Prepare rolling cash flow forecasts and monthly cash flow reporting.
- Execute and control payment runs per the approval matrix; manage banking platforms and payment security.
- Maintain banking relationships; support credit facility applications, covenant monitoring, and utilization reporting.
- Oversee A/R collection with front offices (DSO, aging, escalation) and A/P scheduling to optimize DPO; support working capital needs as trading volume grows.
- Audit and Internal Controls.
- Work directly with the external auditor across the full audit cycle to deliver a clean (unqualified) audit report on schedule; pre-clear significant accounting treatments to minimize audit adjustments.
- Coordinate audit deliverables and drive resolution of findings.
- Ensure compliance with accounting policies, approval matrices, and internal controls; identify and remediate process gaps.
- Drive improvements to closing procedures and documentation; support ERP implementation and automation; maintain SOPs and the accounting manual.
- Team Management and Business Partnering.
- Lead, review, and coach the accounting team across GL, A/R, and A/P.
- Coordinate with business units, FP&A, and Strategy & PMO to resolve accounting matters and support new initiatives.
- Perform other assignments as requested by the CFO.
- Bachelor's degree or higher in Accounting, Finance, or related field.
- Experience in accounting, audit, or financial reporting with supervisory/review experience; Big 4 / audit firm background an advantage.
- Qualified as accountant-in-charge under the Accounting Act; CPA (Thailand) an advantage.
- Multi-entity closing and group consolidation experience strongly preferred.
- Good command of Thai and English for reporting and coordination with advisers and investors.
Skills:
English, Thai
Job type:
Full-time
Salary:
negotiable
- Perform in overall financial management, including financial audit and financial product, to provide support organization's business plan and financial status effectively.
- Perform analysis and interpretation of financial studies and local trends to make reports for management, maintenance and planning of budget systems.
- Participate in the development of long-range financial forecasts and related budgets.
- Research background materials including relevant economic and financial data to support business operations.
- Coordinate with related functions to create mutual understanding in financial operations.
- Make reports to summarize overall financial to propose to the supervisor.
- Perform other responsibilities as assigned.
- Bachelor's degree with 1-5 years' experience in related field.
- Have knowledge in finance or mathematics.
- Have analytical Numerical skills.
- Have good computer skills.
- Have Thai and English communication skills.
- Be able to coordinate.
- Skills.
- Additional Information.
Skills:
Accounting
Job type:
Full-time
Salary:
negotiable
- Deliver reliable, detail-oriented administrative support to guarantee accurate financial record-keeping, proper documentation, and full compliance with policy alignment.
- Manage routine accounting tasks independently with high accuracy under tight multinational deadlines.
- Utilize strong technical competence in accounting system expertise and sharp communication skills to collaborate seamlessly with internal and external partners.
- G/L & Reporting.
- Maintain and update accounting master records across Pernod Ricard systems to ensure accuracy and data integrity.
- Prepare monthly and ad hoc journal postings accurately according to business requirements.
- Organize and maintain accounting documentation in strict alignment with company standards, including document processing and filing.
- Treasury.
- Verify billing workflow, validate that all mandatory documentation is attached to prevent processing delays and generate manual invoices to customers.
- Reconcile daily bank receipts against AR, update trackers, and issue formal transaction receipts directly to customers.
- Prepare monthly corporate and fleet card reconciliations for review, compile tracking reports for outstanding variances, and coordinate with cross-functional parties to resolve open items and distribute reports regularly.
- Identify and follow up on outstanding invoices and non-compliant tax documents, working with relevant parties for timely resolution.
- Support payment processing and maintain payment schedules.
- Fixed Asset.
- Process fixed asset capitalizations, initial system setup, and monthly depreciation calculations in JDE, verifying calculations by ensuring JDE runs status properly to resolve variances.
- Manage the lifecycle of the fixed asset register by recording additions, transfers, and disposals, ensuring all asset records are complete, accurate, and properly classified.
- Execute monthly reconciliations between the fixed asset subledger and the general ledger to identify and resolve account discrepancies.
- Prepare comprehensive fixed asset schedules covering additions, disposals, and depreciation metrics for management reporting.
- Support the accounting team during external financial audits by preparing documentation, delivering data packages, and fulfilling ad hoc requests to ensure a smooth audit process.
- Complete ad hoc reporting requests and other financial projects as assigned.
- Internal.
- Accounting Team members including accounting manager.
- Other internal organization's stakeholders, such as commercial team, marketing, HR, etc.
- PRTH internal controller for HQ internal audit.
- External.
- Deloitte for external financial audits.
- Job.
- Bachelor's degree in accounting, Finance, or related field.
- 1 year and above experience of accounting/ accounting admin position.
- Fair command of English and computer skill.
- Proficient in Microsoft Excel and general computer applications.
- Basic understanding of accounting principles and Thai tax regulations.
- Strong attention to detail and organizational abilities.
- Familiarity with ERP systems (JD Edwards experience is a plus).
- Initiative, integrity, and result-orientation.
- Conviviality and good interpersonal skills.
- Balanced between Collaboration and Discipline in working with other functions.

Upload your resume
Our AI reads it and finds the jobs that fit you.
Upload ResumeSkills:
ERP
Job type:
Full-time
Salary:
negotiable
- one of the largest global innovative companies, with more than 20,000 engineers working in Research & Development.
- a multi-cultural environment that values diversity and international collaboration.
- more than 100,000 colleagues in 31 countries. which make a lot of opportunity for career growth.
- a business highly committed to limiting the environmental impact if its activities and ranked by Corporate Knights as the number one company in the automotive sector in terms of sustainable development.
Skills:
Cash Flow Management, Financial Modeling, Accounting, Budgeting, CFA, M&A, English, Thai
Job type:
Full-time
Salary:
negotiable
- Financial Planning & Analysis (FP&A).
- Lead the annual budgeting process and rolling forecasts across all entities and business units; track performance against budget throughout the year.
- Prepare monthly, quarterly, and annual management reports covering P&L, B/S, CF, operational metrics, and KPI dashboards.
- Perform variance analysis vs. budget, forecast, and prior periods with commentary on drivers and recommended actions.
- Monitor key financial targets revenue growth, profitability margin, and returns vs. WACC and flag risks to plan early.
- Financial Modeling & Project Feasibility.
- Build and maintain the group financial model (P&L, balance sheet, cash flow) supporting planning, valuation, and financing discussions.
- Evaluate project and investment feasibility: business cases, ROI/IRR/payback analysis, and scenario and sensitivity modeling for new BUs, M&A, and JV opportunities.
- Track approved project budgets vs. actual spend; report variances and enforce budget discipline with project owners.
- Cash Flow Management & Policy.
- Own group cash flow planning: prepare and maintain medium- and long-term cash flow forecasts (FCFF/FCFE) linked to the business plan.
- Develop and maintain the company's financial policies including cash, liquidity, leverage, approval metrices, dividend framework and treasury policy.
- Plan funding needs ahead of growth working capital for inventory pre-orders, capex, and new initiatives and recommend financing timing and structure.
- Monitor working capital performance (CCC, DSO, DIO, DPO) and OCF/EBITDA conversion; partner with Accounting and business units on improvement initiatives.
- Financing & Stakeholder Support.
- Lead debt financing: prepare projections and covenant analysis for credit facility applications and bank reviews; monitor D/E and DSCR against policy targets.
- Prepare financial materials for investors, board meetings, and fundraising discussions, including data room support.
- Coordinate with the Controller and Accounting Manager to ensure forecasts reconcile with actuals and treasury operations align with cash flow plans.
- Business Partnering.
- Partner with business units and Strategy & PMO on commercial decisions and new initiative evaluation.
- Provide financial insight and challenge to support risk-adjusted, data-driven decision making.
- Perform other assignments as requested by the CFO.
- Bachelor's degree or higher in Finance, Accounting, Economics, or related field.
- Experience in FP&A, corporate finance, investment banking, or financial advisory; supervisory or review experience an advantage.
- Strong financial modeling skills (three-statement models, valuation, scenario analysis); CFA or related qualification an advantage.
- Understanding of working capital dynamics and cash flow forecasting; trading or commerce industry experience an advantage.
- Strong Microsoft Excel and AI skills; experience with BI/planning tools an advantage.
- Good command of Thai and English for reporting and coordination with banks, advisers, and investors.
Skills:
Financial Reporting, Financial Analysis, Accounting
Job type:
Full-time
Salary:
negotiable
- 3-5 years in commercial finance or FP&A (FMCG preferred).
- Experience partnering with commercial or sales teams is an advantage.
- Strong analytical and financial modelling skills.
- Understanding of trade spend management, profitability analysis, and commercial investments.
- Business partnering mindset with strong communication skills. Experience in business cases financials.
- Proactive, detail-oriented, and able to manage multiple priorities.
- Proficiency in Excel, BI tools, and financial reporting systems preferred.
- FMCG experience.
- What's it like to work at JDE Peet's?.
- We believe amazing things happen over a cup of coffee. Together, we create those moments every day, turning ideas into impact and possibilities into reality. At JDE Peet's, we work as one team guided by our values: we Dare to Amaze, Own It, Make It Simple, and Win Together. Here, you'll find the freedom to innovate, the courage to take bold steps, and the support to grow your career in a global environment.
- Come join our team and discover what your cup of amazing can be!.
- Find out more at.
- http://careers.jdepeets.com.
- JDE Peet's - now part of Keurig Dr Pepper - is the world's leading pure-play coffee company, with a presence in more than 100 markets. Guided by our 'Reignite the Amazing' strategy, we are focused on brand-led growth across three big bets: Peet's, L'OR, and our 10 strategically selected local icons led by Jacobs.
Skills:
Accounts Receivable
Job type:
Full-time
Salary:
negotiable
- ดูแลและบริหารบัญชีลูกหนี้ตามพอร์ตที่ได้รับมอบหมาย พร้อมติดตามความถูกต้องของข้อมูลบัญชี.
- วิเคราะห์ข้อมูลลูกหนี้เพื่อดำเนินการปรับโครงสร้างหนี้ตามมติอนุมัติและหลักเกณฑ์ของบริษัท.
- คำนวณดอกเบี้ย ตัดชำระหนี้ และตรวจสอบความถูกต้องของรายการชำระผ่านระบบ.
- ปรับปรุงภาระหนี้ตามคำพิพากษา คำขอรับชำระหนี้ บัญชีรับ-จ่าย สัญญาประนีประนอมยอมความ และมติปรับโครงสร้างหนี้.
- จัดทำการ์ดฟ้อง การ์ดยกเลิก และคำนวณรายการที่เกี่ยวข้องให้เป็นไปตามเงื่อนไขของสัญญาและหลักเกณฑ์ Market Conduct.
- ดำเนินการตัดชำระหนี้ปรับโครงสร้าง (TDR) และตรวจสอบยอดชำระให้สอดคล้องกับ Cash Flow.
- ตรวจสอบและวิเคราะห์อัตราดอกเบี้ยอ้างอิง เช่น MRR, MOR และ MLR รวมถึงข้อมูลสินเชื่อที่เกี่ยวข้อง.
- ออกใบเสร็จรับชำระหนี้ หนังสือยืนยันยอดปิดบัญชี และหนังสือรับรองการปิดบัญชี.
- กระทบยอดบัญชีและจัดทำรายการปิดบัญชีประจำเดือน เพื่อให้ข้อมูลมีความถูกต้องครบถ้วน.
- ประสานงานกับหน่วยงานที่เกี่ยวข้องเพื่อสนับสนุนการดำเนินงานด้านบริหารหนี้และการปรับโครงสร้างหนี้.
- ปริญญาตรี สาขาการบัญชี การเงิน เศรษฐศาสตร์ บริหารธุรกิจ หรือสาขาอื่นที่เกี่ยวข้อง.
- มีประสบการณ์ด้านบริหารบัญชีลูกหนี้ สินเชื่อ การปรับโครงสร้างหนี้ หรืองานบริหารหนี้ อย่างน้อย 1-3 ปี.
- มีความรู้เกี่ยวกับการคำนวณดอกเบี้ย การตัดชำระหนี้ และการกระทบยอดบัญชี.
- มีความเข้าใจเกี่ยวกับกระบวนการปรับโครงสร้างหนี้ (TDR) และหลักเกณฑ์ Market Conduct จะได้รับการพิจารณาเป็นพิเศษ.
- มีความรู้เกี่ยวกับอัตราดอกเบี้ย MRR, MOR, MLR และผลิตภัณฑ์สินเชื่อ.
- สามารถวิเคราะห์ข้อมูลและตีความเอกสารทางกฎหมาย เช่น คำพิพากษา สัญญาประนีประนอมยอมความ และคำขอรับชำระหนี้ได้.
- ใช้งาน Microsoft Excel ได้ดี โดยเฉพาะการจัดการข้อมูลและการคำนวณ.
- มีความละเอียดรอบคอบ รับผิดชอบสูง และสามารถบริหารจัดการงานหลายรายการได้อย่างมีประสิทธิภาพ.
- สามารถทำงานร่วมกับทีมและประสานงานกับหน่วยงานที่เกี่ยวข้องได้เป็นอย่างดี.
Skills:
Creative Thinking, Recruitment, Accounting, Taxation, English, Thai
Job type:
Full-time
Salary:
negotiable
- Tax Manager.
- Tax Manager, Tax Director, Executive Director.
- Lead a small team of professional tax staff.
- Prepare and review corporate income tax calculations, annual corporate income tax returns (PND.50), mid-year corporate income tax returns (PND.51).
- Review monthly withholding tax return (PND.3, 53), VAT return (PP.30), VAT reports and tax invoices.
- Experience in BOI business and deferred tax calculations is an advantage.
- Perform tax due diligences, tax health-check (compliance) reviews.
- Experience in providing withholding income tax returns for overseas payments (PND.54) and VAT remittance returns (PP.36) is an advantage.
- Experience in providing advice to clients as regards applicability of double taxation agreements is an advantage.
- Assist with clients in dealing with the Revenue Department, including tax audits.
- Attend meetings with international clients.
- Bachelor's Degree or above in Accounting or any related degree.
- 30 years old and above, Thai nationality.
- At least 7-years experience in tax compliance service in a professional services firm (Big 4 or another international firm preferred).
- Good command of both written and spoken English.
- Good communication and interpersonal skills.
- Able to lead meetings with international clients in English.
- Strong analytical skills and creative thinking.
- Advanced knowledge in Thai tax laws and procedures with additional accounting experience.
- Social Security.
- Medical Insurance.
- Provident Fund.
- Flexible Time.
- If you are a dynamic, results-driven professional with an accounting and tax background, apply now to be part of a high-performing team in a growing global firm. Please submit your resume and cover letter to.
- [email protected].
Skills:
Risk Management, Leadership Skill, English
Job type:
Full-time
Salary:
negotiable
- Lead the financial operations of the education group, including budgeting, forecasting, capital expenditure, financial reporting, audit and financial systems.
- Develop and execute group financial strategy aligned with expansion plans.
- Provide financial analysis, insight and support to the CEO/EXCO and other senior leaders to aid decision-making.
- Business Performance Management - Monitor KPIS such as enrollment, retention, revenue per student.
- Drive cost optimization and margin improvement.
- Develop and implement financial policies and procedures to ensure compliance with regulatory requirements and best practices.
- Provide financial analysis and reports to senior management and other stakeholders, including the Board of Governors and any investors.
- Prepare and present financial related data at monthly EXCO meetings.
- Manage the group's cash flow, working capital, and capital expenditure, ensuring that funds are allocated effectively and efficiently.
- Manage the group's banking relationships and maintain strong relationships with key stakeholders, including investors and lenders.
- Negotiate and approve contracts with various vendors.
- Approval of payroll and high value bank transfers & Purchase Orders.
- Supporting the process of bank loans for any new campus investments and restructuring of current loans if required.
- Manage the financial due diligence process for the opening of new schools, including negotiating financing terms.
- Develop financial projections and business plans for new schools, ensuring they are financially sustainable and aligned with the group's overall strategy.
- Work closely with Head of Schools and CEO in general planning for new schools.
- Work closely with the Head of Schools to ensure compliance with all applicable laws and regulations.
- Develop and implement risk management strategies to mitigate financial risks and ensure the long-term sustainability of the group.
- Provide leadership and direction to the finance teams in all three schools, ensuring they are motivated, engaged, and committed to delivering high-quality financial services.
- Assist with the recruitment and selection of senior finance positions in all the schools.
- Identify and implement opportunities for financial efficiency and improvement across our schools.
- Manage the institution's financial risk, including identifying and mitigating financial risks.
- Provide financial guidance and advice to senior management and other stakeholders.
- Where possible implement financial systems and procedures that can be adopted by all schools in the Group.
- Identify and implement a standardised financial reporting framework or dashboard for easy visibility of group financial performance.
- Actively lead and assist negotiations for group or bulk discounts from suppliers by leveraging the collective buying power of all the schools.
- IPO Related.
- Lead and direct the IPO process from end to end - including identifying current gaps to be addressed to comply with requirements for initial filing and subsequent post IPO compliance.
- Act as IPO program director to ensure readiness assessment, due diligence, filing and regulatory review, roadshow and pricing.
- Act as primary liaison with regulators, financial advisor and auditors.
- Ensure compliance with full TFRS and SEC disclosure rules & regulations.
- Build IPO-quality financial statements and disclosures.
- Ensure robust quarterly closing discipline, strong Balance Sheet and liquidity.
- Optimize capital structure and shareholding structure.
- Develop equity story for growth strategy, financial narrative and use of proceeds.
- Act as key spokesperson on financial matters during analyst briefings, investor roadshows and due diligence sessions. This will involve Investor Relations post IPO.
- Complete any required mandatory training related to SET/SEC.
- About you: Fluent written and spoken English and Thai.
- Compensation: Monthly salary depending on qualifications and experience.
- Performance bonus: 1-2 months Salary, dependent on performance.
- Health insurance, after probation.
- Provident fund, after probation.
- Annual leave entitlement: 25 days per year.
- Eligible for a free international and Thai lunch buffet at SBS Canteen.
- A cover letter outlining background, experience, interests, and philosophy of education.
- A CV with a recent photograph is preferred.
- Two professional references (including most recent line manager, with position and email contact details).
- Candidates can send their curriculum vitae to Human Resources at: [email protected].
- We look forward to hearing from you and working with you! Please kindly name the subject as "Application for AOI CFO".
Skills:
Internal Audit
Job type:
Full-time
Salary:
negotiable
- จัดทำแผนงานตรวจสอบให้สอดคล้องกับความเสี่ยงที่สำคัญ การตรวจสอบประมวลผลอิเล็คทรอนิคส์ การตรวจสอบรายการระหว่างบริษัทที่เกี่ยวข้อง.
- สอบทานให้บริษัทฯ ปฏิบัติตามกฎหมายว่าด้วยหลักทรัพย์และตลาดหลักทรัพย์ รวมทั้งข้อกำหนดของสำนักงาน ก.ล.ต. และกฎหมายที่เกี่ยวข้องกับธุรกิจของบริษัทฯ.
- สอบทานให้บริษัทฯ ปฏิบัติตามนโยบายและแนวทางการปฏิบัติตามมาตรการต่อต้านการทุจริตคอร์รัปชั่นของบริษัทฯ.
- สอบทานรายการที่เกี่ยวโยงกันหรือรายการที่อาจมีความขัดแย้งทางผลประโยชน์และรายการได้มาหรือจำหน่ายไปซึ่งสินทรัพย์ให้เป็นไปตามกฎหมายและข้อกำหนดของสำนักงาน ก.ล.ต.
- สอบทานให้บริษัทฯ มีระบบการบริหารความเสี่ยงที่เหมาะสมและมีประสิทธิภาพ ประสิทธิผลที่ดี.
- ให้คำปรึกษาเกี่ยวกับระบบงาน และการฝึกอบรมให้ความรู้เกี่ยวกับระบบการตรวจสอบภายใน.
- วุฒิการศึกษาปริญญาตรีขึ้นไป ด้านบัญชี การเงิน บริหารธุรกิจ กฎหมาย หรือสาขาที่เกี่ยวข้อง.
- มีประสบการณ์ในงานด้านการตรวจสอบภายใน การตรวจสอบระบบงานตามมาตรฐาน ISO ไม่น้อยกว่า 4-7 ปี.
- มีความรู้ความเข้าใจในมาตรฐานการตรวจสอบภายใน การกำกับดูแลกิจการ การบริหารความเสี่ยง การควบคุมภายใน การตรวจสอบทุจริต การให้คำปรึกษา และระบบบริหาร ISO9001, 14001.
- มีความละเอียดรอบคอบ.
- ขับรถยนต์ได้ และมีใบอนุญาตขับขี่.
- ประจำสำนักงานใหญ่ อาคารมหาทุนพลาซ่า เพลินจิต ปทุมวัน กทม.
- สามารถเดินทางไปปฏิบัติงานที่ อำเภอด่านช้าง จังหวัดสุพรรณบุรี เพื่อตรวจสอบระบบงานภายในตามแผนงานการตรวจสอบได้.
- ปฏิบัติงาน 5 วัน (จันทร์ - ศุกร์).
Skills:
Accounts Receivable
Job type:
Full-time
Salary:
negotiable
The role of a Collections Specialist involves the task of conducting collection operations, which include overseeing overdue accounts, communicating with clients regarding payments, and addressing both simple and complex account-related inquiries. This role invo.
Skills:
Accounting, SUN, English, Thai
Job type:
Full-time
Salary:
negotiable
- Responsible for day to day reconcile sale from each channels.
- Coordinate with sale team to ensure top up to agency account timely and received promptly.
- Prepare appropriate supporting document and preform receive voucher.
- Issuing invoice and receipt/tax invoice.
- Assist with month end closing.
- Preform other related duties as assigned.
- Work with Accounting Function colleagues to record, prepare all transaction and data for them to perform month-end closing.
- Reconcile payment that come through channel like payment gateway, deposit to bank account and etc.
- Reconcile daily sales revenue and other related with AR function.
- Generate invoices, receipt and tax invoice.
- Coordinate with relevant departments to manage and support finance operation of the company.
- Bachelor's degree in Accounting / Finance or related fields.
- Experience in Sun Systems will be advantage./Experience in International Airline is desirable.
- Proficiency in Excel and Word.
- Good knowledge of Thai rules and regulations related to taxes and finance regulations.
- Effective written and verbal skills in Thai and English.
- Work under high pressure.
- Apply for this job.
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- DATA ANALYST, EXECUTIVEMANAGER, CORPORATE FINANCE View all jobs.
- Application form.
- Full Name *.
- Email Address *.
- Phone Number *.
- I certify that my answers or evidence are true. I understand that any incorrect, incomplete, or false statement of information furnished by me will be considered as just cause for rejection of this application or dismissal from employment without any compensation of severance pay whatsoever. *.
- Yes.
- No.
- What's your expected monthly basic salary? *.
- More information.
- Your Resume *.
- To attach your Resume, click here to upload from your Computer.
- Security code *.
- Submit.
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- Responsible for day to day reconcile sale from each channels.
- Coordinate with sale team to ensure top up to agency account timely and received promptly.
- Prepare appropriate supporting document and preform receive voucher.
- Issuing invoice and receipt/tax invoice.
- Assist with month end closing.
- Preform other related duties as assigned.
- Work with Accounting Function colleagues to record, prepare all transaction and data for them to perform month-end closing.
- Reconcile payment that come through channel like payment gateway, deposit to bank account and etc.
- Reconcile daily sales revenue and other related with AR function.
- Generate invoices, receipt and tax invoice.
- Coordinate with relevant departments to manage and support finance operation of the company.
- Bachelor's degree in Accounting / Finance or related fields.
- Experience in Sun Systems will be advantage./Experience in International Airline is desirable.
- Proficiency in Excel and Word.
- Good knowledge of Thai rules and regulations related to taxes and finance regulations.
- Effective written and verbal skills in Thai and English.
- Work under high pressure.
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Try Salary EstimatorAccounting - General Job Description and duties.
Accounting is the process of recording, summarizing, analyzing, and reporting financial transactions of a business. It is the language of business and is used to communicate the financial health of a company. Accounting is a critical component of any business, as it provides the necessary information to make informed decisions.Overview:
Accounting is the process of recording, summarizing, analyzing, and reporting financial transactions of a business. It is the language of business and is used to communicate the financial health of a company. Accounting is a critical component of any business, as it provides the necessary information to make informed decisions.
Common Responsibilities:
Maintaining financial records:
This includes recording and tracking all financial transactions of the business.
Preparing financial statements:
This includes preparing income statements, balance sheets, and cash flow statements.
Analyzing financial data:
This includes analyzing financial data to identify trends and make recommendations.
Managing budgets:
This includes creating and managing budgets to ensure the business is operating within its financial means.
Auditing financial records:
This includes auditing financial records to ensure accuracy and compliance with laws and regulations.
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