General AccountantElken International Viet Nam Company Limited
Nơi làm việc: Hồ Chí Minh
Ngành nghề: Đầu tư, Kế toán, Tài chính / Kế toán, Ngân hàng/ Tài Chính, Kiểm toán
Thu nhập: Cạnh tranh
Hình thức: Toàn thời gian
Ngày đăng: 08/11/2024
Hạn nộp: 08/12/2024
Mô tả công việc
Mô tả Công việc
Department: Accounts & Finance
Reports To: Chief Accountant
Purpose / Objective (Of This Position): To monitor and control the accounting books to ensure the statement is accrued/posted/reconciled on time and complied with VAS/IFRS/Laws.
JOB RESPONSIBILITIES :
Part 1 -Primary roles of the job which are measurable and may be used as part of KPIs
Receive orders and create product codes for sales items.
Set up kitting.
Reconcile Sales Details and the customer payment with the bank statment to monitor bad debts.
Verify system revenue reports for compliance with legal requirements and issue value-added tax invoices accordingly.
Check, reconcile, and input sales data
Reconcile and input commission data
Verify the legality and validity of internal payment requests and supplier payments.
Plan payments pediordically.
Closely control payment amounts, available cash flow, and issue bank instructions.
Perform reconciliation of payments made and current balances.
Print bank statement at the beginning of each month.
Prepare and reconcile tax-related data for timely submission (including license fees, VAT, CIT, PIT, etc.).
Submit tax payments.
Archive and send tax report copies to the Regional Director.
Ensure timely submission of tax reports and payments.
Set up selling prices in the system.
Collect complete documentation to calculate product costs
Review and assess the transparency and tax compliance of documents related to inventory receipts, shipments, and internal transfers as needed.
Control product specifications, batches, and quantities in the management software to match sales orders, revenue reports, or transfer requests.
Conduct periodic inventory counts.
Propose solutions for any discrepancies.
Evaluate exchange rate differences for foreign currency transactions and input data into the Asoft software.
Assist in reconciling detailed accounting data with summary figures.
Verify that end-of-period balances are reasonable and match detailed reports.
Monitor and remind internal and third-party entities to complete various types of reports and meet submission deadlines
Part 2 - Secondary roles which supports the primary roles above
Ensure timely reports generated by subordinate; review all the control account reports monthly and ensure appropriate action taken to resolve whatever issues arise.
Provide relevant, timely and reliable financial information to the management for decision making and planning
Receive orders and create product codes for sales items.
Set up kitting.
Reconcile Sales Details and the customer payment with the bank statment to monitor bad debts.
Verify system revenue reports for compliance with legal requirements and issue value-added tax invoices accordingly.
Check, reconcile, and input sales data
Reconcile and input commission data
Verify the legality and validity of internal payment requests and supplier payments.
Plan payments pediordically.
Closely control payment amounts, available cash flow, and issue bank instructions.
Perform reconciliation of payments made and current balances.
Print bank statement at the beginning of each month.
Prepare and reconcile tax-related data for timely submission (including license fees, VAT, CIT, PIT, etc.).
Submit tax payments.
Archive and send tax report copies to the Regional Director.
Ensure timely submission of tax reports and payments.
Set up selling prices in the system.
Collect complete documentation to calculate product costs
Review and assess the transparency and tax compliance of documents related to inventory receipts, shipments, and internal transfers as needed.
Control product specifications, batches, and quantities in the management software to match sales orders, revenue reports, or transfer requests.
Conduct periodic inventory counts.
Propose solutions for any discrepancies.
Evaluate exchange rate differences for foreign currency transactions and input data into the Asoft software.
Assist in reconciling detailed accounting data with summary figures.
Verify that end-of-period balances are reasonable and match detailed reports.
Monitor and remind internal and third-party entities to complete various types of reports and meet submission deadlines
Ensure timely reports generated by subordinate; review all the control account reports monthly and ensure appropriate action taken to resolve whatever issues arise.
Provide relevant, timely and reliable financial information to the management for decision making and planning
Department: Accounts & Finance
Reports To: Chief Accountant
Purpose / Objective (Of This Position): To monitor and control the accounting books to ensure the statement is accrued/posted/reconciled on time and complied with VAS/IFRS/Laws.
JOB RESPONSIBILITIES :
Part 1 -Primary roles of the job which are measurable and may be used as part of KPIs
Receive orders and create product codes for sales items.
Set up kitting.
Reconcile Sales Details and the customer payment with the bank statment to monitor bad debts.
Verify system revenue reports for compliance with legal requirements and issue value-added tax invoices accordingly.
Check, reconcile, and input sales data
Reconcile and input commission data
Verify the legality and validity of internal payment requests and supplier payments.
Plan payments pediordically.
Closely control payment amounts, available cash flow, and issue bank instructions.
Perform reconciliation of payments made and current balances.
Print bank statement at the beginning of each month.
Prepare and reconcile tax-related data for timely submission (including license fees, VAT, CIT, PIT, etc.).
Submit tax payments.
Archive and send tax report copies to the Regional Director.
Ensure timely submission of tax reports and payments.
Set up selling prices in the system.
Collect complete documentation to calculate product costs
Review and assess the transparency and tax compliance of documents related to inventory receipts, shipments, and internal transfers as needed.
Control product specifications, batches, and quantities in the management software to match sales orders, revenue reports, or transfer requests.
Conduct periodic inventory counts.
Propose solutions for any discrepancies.
Evaluate exchange rate differences for foreign currency transactions and input data into the Asoft software.
Assist in reconciling detailed accounting data with summary figures.
Verify that end-of-period balances are reasonable and match detailed reports.
Monitor and remind internal and third-party entities to complete various types of reports and meet submission deadlines
Part 2 - Secondary roles which supports the primary roles above
Ensure timely reports generated by subordinate; review all the control account reports monthly and ensure appropriate action taken to resolve whatever issues arise.
Provide relevant, timely and reliable financial information to the management for decision making and planning
Receive orders and create product codes for sales items.
Set up kitting.
Reconcile Sales Details and the customer payment with the bank statment to monitor bad debts.
Verify system revenue reports for compliance with legal requirements and issue value-added tax invoices accordingly.
Check, reconcile, and input sales data
Reconcile and input commission data
Verify the legality and validity of internal payment requests and supplier payments.
Plan payments pediordically.
Closely control payment amounts, available cash flow, and issue bank instructions.
Perform reconciliation of payments made and current balances.
Print bank statement at the beginning of each month.
Prepare and reconcile tax-related data for timely submission (including license fees, VAT, CIT, PIT, etc.).
Submit tax payments.
Archive and send tax report copies to the Regional Director.
Ensure timely submission of tax reports and payments.
Set up selling prices in the system.
Collect complete documentation to calculate product costs
Review and assess the transparency and tax compliance of documents related to inventory receipts, shipments, and internal transfers as needed.
Control product specifications, batches, and quantities in the management software to match sales orders, revenue reports, or transfer requests.
Conduct periodic inventory counts.
Propose solutions for any discrepancies.
Evaluate exchange rate differences for foreign currency transactions and input data into the Asoft software.
Assist in reconciling detailed accounting data with summary figures.
Verify that end-of-period balances are reasonable and match detailed reports.
Monitor and remind internal and third-party entities to complete various types of reports and meet submission deadlines
Ensure timely reports generated by subordinate; review all the control account reports monthly and ensure appropriate action taken to resolve whatever issues arise.
Provide relevant, timely and reliable financial information to the management for decision making and planning
Yêu cầu
Yêu Cầu Công Việc
Qualification
Possess qualification in Accounting related discipline or equivalent.
Experience
Possess minimum 3 years working experience in accounting.
Skills & Knowledge
Ability to supervise a team of staff under him/her
Good ability to use Microsoft Excel, Accounting software
Behavioral Traits - State the type of personality required to fit the job
Detail attention
Good communication skills
Positive attitude
Team player
Qualification
Possess qualification in Accounting related discipline or equivalent.
Experience
Possess minimum 3 years working experience in accounting.
Skills & Knowledge
Ability to supervise a team of staff under him/her
Good ability to use Microsoft Excel, Accounting software
Behavioral Traits - State the type of personality required to fit the job
Detail attention
Good communication skills
Positive attitude
Team player
Quyền lợi
Chế độ bảo hiểm
Du Lịch
Chế độ thưởng
Chăm sóc sức khỏe
Đào tạo
Tăng lương
Du Lịch
Chế độ thưởng
Chăm sóc sức khỏe
Đào tạo
Tăng lương
Thông tin khác
Địa điểm làm việc
Hồ Chí Minh
Số 290/15, Đường Nam Kỳ Khởi Nghĩa, Phường Võ Thị Sáu, Quận 3, TP Hồ Chí Minh
Hồ Chí Minh
Số 290/15, Đường Nam Kỳ Khởi Nghĩa, Phường Võ Thị Sáu, Quận 3, TP Hồ Chí Minh
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District 01- HCMC
Quy mô: Từ 26 - 100 nhân viên
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Vị trí General Accountant do công ty Elken International Viet Nam Company Limited tuyển dụng tại Hồ Chí Minh, Joboko tự động tổng hợp mức lương Cạnh tranh, tìm thêm việc làm về General Accountant hoặc công ty Elken International Viet Nam Company Limited ở các link phía trên
Giới thiệu công ty
Elken International Viet Nam Company Limited việc làm
District 01- HCMC
Quy mô: Từ 26 - 100 nhân viên