TOA Coating (Cambodia) Co., Ltd. Finance & Accounting Manager
South-East Asia and Thailand’s #1 paint company listed on the Thailand Stock Exchange. Our vision is to replicate the success we have in Thailand into every South-East Asia Country. We have thus invested into state-of-the-art plants in Cambodia, Myanmar, Indonesia, Vietnam, and Malaysia.
Finance & Accounting Manager, TOA Coatings (Cambodia) Co., Ltd., reporting to CFO.
Responsible for Asset Accounting, Tax Accounting, General Accounting, Cost Accounting, Accounts Receivable and Account Payable of TOACKH to ensure the compliance with accounting policy, generally accepted accounting standards and tax policy. This includes developing of reports for financial purposes and preparing report for internal/external parties and the management.
Responsible for financial statement preparation for TOACKH to ensure the accuracy accordance to generally accepted accounting standards and comply with TOA Group’s accounting policy, other related law and regulations for the purpose of submission to regulators and government agencies on time.
Responsible for the payment process in accordance to approved invoices or other documents of TOACKH in accurate and timely manner and also ensure the alignment with TOA Group’s finance policy, international standards of payment, tax policies and other related laws.
Responsible for collections process from customers via multiple channels, including to record collections and invoice or other document for collection of TOACKH in accurate and completeness manner.
Responsible for cooperating with related departments to develop TOACKH’s annual budgeting, including analyzing performance and financial status of TOACKH in the aspect of budget, financial performance, management report and the analysis from multiple aspects for management to utilize this information in decision making and management for driving performance to achieve the target.
Prepare, examine, analyze accounting records, financial statement and assess accuracy of financial report, completeness, and conformance to reporting and procedural standards.
Ensure month end closing activities are complete with the agreed timeline with regards to sales revenue and sales & administrative expense.
Preparation of bank reconciliation statement and monitor bank balance
Budget plan preparation to make sure that the company cashflow are stability
Handle fixed asset register and calculate the depreciation periodically according to the rate decided
Prepare periodical revenue report and statistics report
• Calculation of production cost
Preparation of Financial statement
Presentation Financial statement to management
Performing financial analysis, ration
Conduct with internal audit and tax audit authority to complete the timeline and to make sure the
company are full compliance with internal policy and taxation law
• To check and review of monthly tax declaration
Sale and expense allocation of QIP and Non-QIP
Preparation of annual tax return
Bachelor's Degree in ACCA student, bachelor’s degree of Accounting and Finance
8-year experience in the financial sector with previous possible roles such as financial Manager
A keen eye for detail and desire to probe further into data