← Phuc Giang Company Limited/ Công Ty TNHH Phúc Giang
Chief Accountant
Phuc Giang Company Limited/ Công Ty TNHH Phúc Giang · Hồ Chí Minh
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Type
Full-time
Work mode
On-site
Level
Executive
Industry
Accounting / Audit / Tax
Salary
Thương lượng
Location
Hồ Chí Minh, Hồ Chí Minh, Hồ Chí Minh
Overview
- Propose and develop accounting procedures, accounting policies and practices compliant with local law.
- Ensure the on-time and correct submission of periodical reports (monthly, quarterly, yearly) to relevant authorities.
- Ensure all the financial statements and practices, tax reports and tax finalization in compliance with VAS, Vietnamese tax regulations and company policy.
- Work with the tax authorities and other third parties for all accounting and tax matters.
- Work with Bank, other department for setting up new policy.
- Produce and training process, policy to new staff for new stores to ensure the records are accurate.
- Training to staff well acknowledge, supervise staff in other additional issues.
- Assist with implementation of new accounting standards (if any).
- Propose and recommend cost savings and improved efficiencies of operations.
- Coordinating with the Sales Department to monitor debts and expenses. Track and remind the Sales Department to contact customers for debt collection.
- Manage all transactions, payments of the companies in line with the company policies and Vietnamese regulations.
- Prepare monthly, quarterly and annual Financial Statements in accordance with Vietnamese Accounting Standards (VAS) and statutory requirements.
- Prepare and submit management reports including Profit & Loss Statement, Balance Sheet, Cash Flow Statement, Trial Balance, General Ledger and other financial reports as required by Management and Group Finance.
- Weekly Cash Flow Management. Report.
- Conduct & prepare reports for management purposes as requested by the General Director & BOD: cash flow, debts, expenses …
- Assist with variance analysis between Budget, Forecast and Actual.
- Prepare, follow up and analyze budget and expenses to save cost and increase productivity.
- Control cost center.
- Manage and control the Company's cash flow to ensure adequate funding for daily operations.
Benefits
Training
Summary of facts from the official posting. View original ↗
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