Roles & Responsibilities
- Performing and managing month-end accounting activities such as reconciliations journal entries cash flow and adherence to the local laws including payroll verification
- Monthly closure of books of accounts with 100% accuracy and in strict adherence to accounting standards
- Transfer prices maintenance and update Transfer Pricing P&L preparation and review.
- Verification of distributor claims pertaining to price differences Value Added Services warehouse expenses expiries etc.
- Performing periodic reconciliations financial analysis (Balance Sheet P&L Revenue & Expenses) preparing financial forecasts and reporting the same to the management as needed in accordance with the accounting standards.
- Ensuring all marketing codes DOAs and SOPs are followed and documented before any payments including maintenance of relevant trackers and masters
- Treasury related activities such as payments through bank after due calculations of Withholding taxes etc.
- Review tax calculations to ensure accuracy and compliance to local tax laws surrounding direct and indirect taxes
- Coordinating with Audit firms for expense audits management audits and other statutory audits for year-end filing of returns
- Monitoring revenues & expenditures determining budget variances forecasting future revenues & expenses and reporting the same to Head Office.
- Assisting in budget preparation and expense management activities for assigned accounts.
- Ensuring all documentations are done for commercial transactions done by the distributor
- Ensure periodic evaluation of processes & subsequent updates to Codes SOPs & DOAs as required
- Support ongoing and upcoming process automation projects
Qualifications :
CPA/ Certified Public Accountant (OR) Masters in accounting (OR) Experience in pharmaceutical / FMCG industry
Additional Information :
Requirements:
- CPA or other higher level of accounting degree.
- At least 8-10 years experience in pharmaceutical / FMCG industry and at least 5 years experience in a similar role.
- Experience in financial monitoring budgetary control expense verification with strong analytical skills.
- Knowledge and experience in accounting packages (such as SAP S4 SAP B1) Microsoft Excel & PowerPoint.
- Advanced knowledge of bookkeeping and accounting best practices laws standards and state/national regulations.
- Excellent written and verbal communication skills in English and Thai.
- Sharp business focus analytical ability & networking capability
- Should be self-initiator and sense of ownership for its deliverables
Remote Work :
No
Employment Type :
Full-time