Assistant accountant: preparation, check the list, accounting, tax preparation withholding (PND. 3, 53 check - Reconciliation) VAT (Worlds. 30 check - Reconciliation) adjustment period. Reconciliation statements probationary period, Reconciliation Bank
Assistant Treasury: Prepare / review of documentation, billing, coordination with sales, billing / collection of checks,
tracking solutions to collect money, prepare the Report submitted to the management. For overdue, reporting outstanding receivables sending debtors to confirmation, check the check on the documents to get money, cut key accounts in the accounting software, making data Supply On-line bank (Kbank, Citi Bank). , followed by the transfer amount from the debtor to the bank, check receipt - to pay the Statement Bank, of petty cash.
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