Chức danh/Vị trí: Accountant staff/ General accountant
Nguyễn Thị Mỹ Loan
Ngày sinh: 20-11-1990
Giới tính: Nữ - Độc thân
Quốc gia: Viet Nam
Điện thoại: 0932673864
Địa chỉ: 41 Tăng Nhơn Phú, Phường Phước Long B, Thủ Đức, Hồ Chí Minh
Email: myloan1268@gmail.com
- Learn more things when working in the company to accumulate much experience for future promotion.
- Gain valuable experience in a friendly and professional business environment.
- Make some positive contribution to the development of the company.
Công ty đã từng làm việc
Crown Beverage Cans Saigon Limited
* Payable accountant (Temporary)
- Download bank statements, verify bank account balance, check bank charge difference, monitoring income and outgoing payment.
- Prepare cash flow forecast weekly, make payment plan ensuring payment term and due date.
- Prepare payment account slips by Foxprow software for local and oversea payment.
- Coordinate with relevant departments to collect the required supporting documents for payments requests before these are logged into the schedule of payments.
- Prepare bank payment orders, recheck bank payment orders and payment documents (such as: PO, PR, GRN, Sales Contract, B/L, Packing List, Customs Declaration, others relevant document...) ensure correctly before submitting to get approval.
- Allocate payment expense, matching invoice, net-off tax for monthly closing, process account payable closing.
- Reconcile bank account and make bank reconciliation report before 1st next month.
- Prepare VAT tax, WHT tax, resource tax monthly.
- Calculate & records foreign exchange difference, revaluation at month - end.
- Seal "Posted" and "Paid" on payment documents after posted into Sun sytem.
- Assit CA any tasks for monthly closing.
- Respond to businesss partners' and audits' requests.
BRB Software Co., Ltd
* General accountant
- Follow up all input and output financial invoices, ensure all invoices recorded accurately.
- Check and reconcile receivable and payable transactions, allocate expenditure.
- Track customers' receivable accounts and monitor Suppliers' payable accounts.
- Reconcile all transaction with bank statement and make bank reconciliation report.
- Reconcile customer balance, manage confirmation letters.
- Perform full set of accounts and ensure timely closing of accounts.
- Prepare and submit quarterly VAT - PIT - CIT tax.
- Prepare financial statement, profit/ loss, cash flow report, statistical report to tax office.
- Have good knowledge about general accounting especial in Information Techonogy firm, update new accounting knowledge following regulation, circular of Government.
- Use proficiently Ms Office special preparing formulas in Ms Excel function (statistical function, database function, macro), used to work with accounting software: SUN SYSTEM (Version 4.2) and supported software for C&B field: Ts24 (iBHXH), KBHXH.
- Good at using to work both speaking and writing.