- Exchange with Banks to solve normal issue (check stiation of transactions, check the requirement evidences or method to do).
 - To solve all arising issues related issuing invoice, import materials such as Prepare invoice cancel/adjust minute, returned goods, etc...
 - Check Payment request documents on Payment monthly, Prepare the Payment plan monthly.
 - Take responsibility in Balance confirmation with vendors for audit or follow company accounting policy.
 - Register Accounting entries in SAP system for monthly closing.
 - Give people the instruction on Payment evidences, production catergory, revision the mistake in SAP system.
 - Cooperate with other departments in AR, AP, monthly closing.
 - Prepare FCT, reports relating to government and other reports from Accounting Management’s requirements.
 - Provide professional instruction and guidance on daily booking for other accountants to ensure all accounting transactions recorded in correct accounting treatments as per VAS and audit standard.
 - Support Accounting Manager in Tax activities and annual audits.
 - Others to be assigned by Accounting Manager to support the team and other departments when necessary.
 
                    
                                                            
                                                            
                                
                                        