Senior CM & RM Software Engineer
appropriately to support reconciliation efforts - Work with the development team on/offshore to create appropriate configurations for the environment...
accounts payable, accounts receivable, bank transactions and reconciliation; Perform daily accounting works namely cheque issuance, data input..., and petty cash; and Liaise with various parties for accounts payable reconciliation and confirmation. Requirements Form 5 with LCC Higher; 2 years...
Ernst & Young - Vietnam
of monthly, quarterly, yearly tax declarations (VAT, Payroll, CIT, Local tax, etc), * Reconciliation of Tax current account into GL, * Active... participation in month end and year end closing, audit, * Participation in Inter-company reconciliation on a monthly basis * Preparation of weekly...
as required by the MFU management team. Prepare bank reconciliation monthly all NO bank accounts including VND and USD ones. Review financial reports... reconciliation to Hanoi, especially at the end of year. Be responsible for updating Fixed Asset, Inventory and other related books as required Monitor...
Quang Tri, North Central Coast
-annual & annual financial report for Support Office and other concerned parties. Prepare program bank reconciliation statement of each month... Finance department for various financial matters including funding request, project income reconciliation, budget preparation etc. Assist in...
• Preparing accounting documents (bank transfer, non cash journals, bank, inventory reconciliation, fixed assets reports…) • Inputting data...
Vile NTM JSC - Hanoi, Red River Delta
- prepares all allocations; 20. Coordinate monthly closing process and reconciliation of general ledger accounts. 21. Responsible for all taxes...
Preparation of monthly, quarterly, yearly tax declarations (VAT, Payroll, CIT, Local tax, etc), Reconciliation of Tax…...
. - Completion for all duties monthly, yearly as: Closing cash book, bank book, full sets of accounts; Bank reconciliation, Accrual list, Follow up...
Senior Manager- Treasury Department Banking
1. Responsible and accountable for the country revenue budget, forecasting and reconciliation of actual P&L. 2. Ensure the Regional Senior...
- Prepare, review and maintain the General Ledger on a monthly basis, including processing accounting journals and reconciliation...) and confirmations/reconciliation. - Perform and review FX revaluations. - Post banking transactions to the GL. - Clear transactions and reconcile bank...
from Pre-payment, Accrual, Fixed Assets Depreciation, Inter-company charge, Revenue - Generate reconciliation for balance sheet items - Submit...
CareerLink's Client - Ho Chi Minh City, South East
. - On a monthly basis conduct balance sheet reconciliation for review by Managing Director. - Where inconsistencies to reconciliations emerge... and direction to the Company liaison offices regarding financial matters. * Finance Administration: - Ensure the monthly reconciliation of all ledgers...
Standard Chartered Bank - Vietnam
for centralized function handling all Reconciliation for WB and CB. ? To act as local contact point for GRH to deliver and follow up all the outstanding...
recommendations and maintain solutions to business and financial problems - Conduct and keep track of the reconciliation and payment process with telcos..., monthly and as requested HR Duties: - Manage the contract with staff - Make monthly payroll - Conduct reconciliation and make payment with state...
Accountant Assistant Manager - Age From 30
including preparing journal entries, account analysis and reconciliation, closing books compliance with local regulation monthly. • Prepare monthly...
of Sale/Cost/Stock + AR report & AR collection/Payment request to customer + Cash/Bank reconciliation + Fixed asset control for Hanoi office * HCM...
Chief Accountant - Kế Toán Trưởng
and act as coordinator for the General Manager and corporate office with external tax, legal and government bodies. - Monthly reconciliation...
To Test/Distribution Form to determine the consumption of raw PCBs and jointly reconcile discrepancies with Production. After reconciliation...
. + Monthly reconciliation of all balance sheet accounts on the general ledger and the monthly preparation of the hotels financial statements...
