āđāļāđāļĄāļāļĩāļāļĩ. āļāļĩāđāļ§āļĨāļĨāđāļāļāđāļĄāđāļāļāđ āđāļāļāļāđ āļāļāļāļŠāļāļĢāļąāļāļāļąāđāļ āļāļģāļāļąāļ
āļāļĢāļīāļĐāļąāļāļāļĩāđāđāļĄāđāļĄāļĩāļāļģāđāļŦāļāđāļāļāļēāļāļāļĩāđāļĨāļāļāļĢāļ°āļāļēāļĻāļāļđāļāļģāđāļŦāļāđāļāļāļēāļāļāļąāđāļāļŦāļĄāļāļāļĩāđāļāļģāļĨāļąāļāđāļāļīāļāļĢāļąāļāļŠāļĄāļąāļāļĢ
āđāļĄāđāļĄāļĩāļāļģāđāļŦāļāđāļāļāļēāļāļŠāļģāļŦāļĢāļąāļāļāļĢāļīāļĐāļąāļāļāļĩāđ āļāđāļāđāļāļāļĩāđāđāļāđāļāļāļģāđāļŦāļāđāļāļāļēāļāļāļĩāđāļāļļāļāļāļēāļāļāļ°āļŠāļāđāļ
āļāļąāļāđāļŦāļĨāļāđāļĢāļāļđāđāļĄāđāļāļāļāļāļļāļ AI āļāļāļāđāļĢāļēāļāļ°āļ§āļīāđāļāļĢāļēāļ°āļŦāđāđāļĨāļ°āđāļāļ°āļāļģāļāļģāđāļŦāļāđāļāļāļēāļāļāļĩāđāļāļĩāļāļĩāđāļŠāļļāļāđāļŦāđāļāļļāļ
āļāļĨāļāļāļŦāļĨāļ§āļ, āļāļāļļāļĄāļāļēāļāļĩ, āļāļąāļāļāļĩ
,āļāļēāļĢāđāļāļīāļ
,āļāļēāļāļāļļāļĢāļāļēāļĢ
āļāļąāļāļāļĩ,āļāļēāļĢāđāļāļīāļ,āļāļēāļāļāļļāļĢāļāļēāļĢ
āļāļĢāļ°āļŠāļāļāļēāļĢāļāđ:
3 āļāļĩāļāļķāđāļāđāļ
āļāļąāļāļĐāļ°:
Accounting, English, Thai
āļāļĢāļ°āđāļ āļāļāļēāļ:
āļāļēāļāļāļĢāļ°āļāļģ
āđāļāļīāļāđāļāļ·āļāļ:
āļŠāļēāļĄāļēāļĢāļāļāđāļāļĢāļāļāđāļāđ
- Prepare checks or wire transfer payments based on fully approved documents and present them to final authorizers.
- Ensure cash is well managed including petty cash replenishments, cash counts and safety guidelines adhered to.
- Perform accurate weekly and end month cash counts and reconciliations for RIMES cash transactions.
- Ensuring that all supplier payments have receipts acknowledging payment attached to them in a timely manner.
- Ensure that compliance to the Approval levels of all supporting documents (quotation analysis, POs, PRs, Request for Payment) before proceeding to make a payment. Managing bank relations and ensuring any changes are updated in a timely manner for smooth running of the finance function.
- Compile copies of vouchers and other supporting documentation as may be required for Audit.
- Refiling documentation after Audits.
- Preparation and submission of VAT and Withholding Tax reports and filling if any.
- File all cash and bank vouchers and maintain systematic voucher filing system, well labelled such that files are clearly identifiable.
- Maintaining an updated advance register for RIMES and ensuring that staff advances are cleared within the limits of advance policy.
- Offer prompt support and backstopping to field finance, other finance assistants whenever required.
- Support new Finance Team members settle in by providing necessary logistics for their work.
- Manage the petty cash float, cash advances - issuing and monitoring.
- Monitor receipt quality, cash & cheque donations, and issue receipts.
- Reports to the Finance and Account Manager weekly on the status of outstanding advances.
- Monitors and anticipates cash flow expenditures to maintain sufficient cash for RIMES operations while remaining below authorized accountability levels. Prepares semi-annual reports for Head-Operation Support Department.
- Serves as the primary point of contact with local bank officials on matters pertaining to RIMES banking operations. Contacts the bank on a regular basis to inquire on replenishment and withdraws funds from the bank account immediately upon being notified of replenishment funds to maintain enough cash to manage operations while minimizing the actual cash kept on hand.
- Coordinates with Finance and Account Manager on all issues related to RIMES finances.
- Enters all cash transactions into the account on a real-time basis, coding all payments and collections according to Finance and Account Manual.
- Maintains all records of and ensures the safekeeping of all accountable forms, including collections forms, cashier reimbursement vouchers and/or accountability report forms, and deposit slips.
- Monitors the Outstanding Staff Advances Report on a weekly basis.
- Tracks and validates the exchange rates of each transaction.
- Any other tasks that may be assigned by the supervisor.
- Education and Experience:
- Completion of a bachelor s degree or above in accounting, finance, business administration, or a related field.
- At least 1-3 years of experience in financial management, accounting, or cashiering, preferably in reputable audit firms, international organizations, or donor organizations.
- Experience in data analysis and preparing management reports.
- Experience in accounting software and financial management systems.
- Professional relevant certification or additional training in accounting or financial management is desirable.
- Strong analytical skills and attention to detail for accurately managing financial records and transactions.
- Knowledge of budgeting, financial reporting, and compliance with donor regulations.
- Knowledge of accounting principles, procedures, and standards.
- Ability to apply conceptual, analytical, and evaluative skills in accounting operations.
- Ability to prepare and maintain the full set of accounts.
- Proficient in communication and interpersonal skills, while needing to work closely with colleagues, donors, and external stakeholders.
- Fluency in oral and written English and Thai.
- Proficient in Microsoft Office skills, including Word, Excel, Outlook, and PowerPoint.
- Desirable:
- Knowledge of international donor agency requirements and regulations.
- Personal Qualities:
- High level attention to detail and accuracy.
- Ability to follow through on tasks.
- Flexible, creative, responsive, able to take initiative, open to learning.
- Ability to organize and prioritize a large and diverse workload.
- Reliable.
- Able to work within systems and procedures, work effectively in a small team environment involving the sharing of information and at times sharing workloads.
- Able to analyze and integrate potentially conflicting numerical, verbal, and other data from a number of sources.
- Excellent cross-cultural communication skills.
- Willing to demonstrate, apply and share expert technical knowledge across the organization.
- Able to work independently and multi-task and meet deadlines.
2 āļ§āļąāļāļāļĩāđāļāđāļēāļāļĄāļē
āļāļđāđāļāļīāđāļĄāđāļāļīāļĄkeyboard_arrow_down
āļāļąāļāļāļķāļ
āļĒāļāđāļĨāļīāļ
āļāļĨāļāļāļŦāļĨāļ§āļ, āļāļāļļāļĄāļāļēāļāļĩ, āļāļēāļĢāđāļāļīāļ
,āļāļąāļāļāļĩ
āļāļēāļĢāđāļāļīāļ,āļāļąāļāļāļĩ
āļāļĢāļ°āļŠāļāļāļēāļĢāļāđ:
2 āļāļĩāļāļķāđāļāđāļ
āļāļąāļāļĐāļ°:
Accounting, Financial Analysis, English, Thai
āļāļĢāļ°āđāļ āļāļāļēāļ:
āļāļēāļāļāļĢāļ°āļāļģ
āđāļāļīāļāđāļāļ·āļāļ:
āļŠāļēāļĄāļēāļĢāļāļāđāļāļĢāļāļāđāļāđ
- Completion of bachelor s degree in Accounting or Finance with minimum of 3 of progressively responsible professional experience in accounting, finance, budget.
- Postgraduate degree in Accounting or Finance with minimum of 2 years of progressively responsible professional experience in accounting, finance, budget.
- Professional certification in Accounting or Finance is desirable.
- Experience in analyzing data and preparing management reports.
- Work experience from reputable audit firms, international organizations, or donor organizations.
- Knowledge of accounting principles, procedures and standards.
- Ability to apply conceptual, analytical, and evaluative skills in accounting operations.
- Ability to prepare and maintain the full set of accounts.
- Knowledge and hands on experience with Infor SunSystems or other Accounting Software (for non-profit).
- Fluency in oral and written English and Thai.
- Proficient in Microsoft Excel.
- Desirable.
- Knowledge of international donor agency requirements and regulations.
- Personal Qualities.
- High level attention to detail and accuracy.
- Ability to follow through on tasks.
- Flexible, creative, responsive, able to take initiative, open to learning.
- Reliable.
- Able to work within systems and procedures, work effectively in a small team environment involving the sharing of information and at times sharing workloads.
- Able to analyze and integrate potentially conflicting numerical, verbal, and other data from a number of sources.
- Willing to demonstrate, apply and share expert technical knowledge across the organization.
- Able to work independently and multi-task and meet deadlines.
- Major Duties and Responsibilities:
- General accounting tasks, including reconciling and maintaining balance sheet accounts and general ledger operations, preparing journal entries, preparing monthly closing and financial reports, preparing account/bank reconciliations.
- Oversee the validation of transactions and verification of their overall impact on the general accounts.
- Review financial paperwork and procedures, provide recommendations, and make necessary changes.
- Ensure all expenses are within assigned project budget and verify the completeness of all required supporting documentation for all payments vouchers.
- Examine vouchers and supporting documents for all payment requests, cash advances and liquidation and process payments.
- Prepare invoice to the projects for services and cost share.
- Identify and resolve invoicing issues, accounting discrepancies and other financial related issues Review income transactions and follow up outstanding payments.
- Assist the Finance Officer to prepare financial reports for the project donor, funding agencies and authorities.
- Coordinates monthly meetings with each of the project teams to discuss expenditure targets and projections on a regular basis.
- Ensure proper and complete documentation and filing for easy retrieval of all accounting related documents.
- Perform other duties as assigned by the Finance and Account Manager.
- Reporting.
- The Finance and Account Associate will report to Finance and Account Manager.
- Contract Duration.
- The contract will initially be for one year and will be extended upon satisfactory completion of probationary term and each annual performance review.
9 āļ§āļąāļāļāļĩāđāļāđāļēāļāļĄāļē
āļāļđāđāļāļīāđāļĄāđāļāļīāļĄkeyboard_arrow_down
āļāļąāļāļāļķāļ
āļĒāļāđāļĨāļīāļ
āļŠāļ§āļąāļŠāļāļīāļāļēāļĢ
āļāļĢāļīāļĐāļąāļāļāļĩāđāļāđāļēāļŠāļāđāļ
āļāļĩāđ WorkVenture āđāļĢāļēāđāļŦāđāļĄāļđāļĨāđāļāļīāļāđāļāļĩāđāļĒāļ§āļāļąāļāļāļĢāļīāļĐāļąāļ āđāļāđāļĄāļāļĩāļāļĩ. āļāļĩāđāļ§āļĨāļĨāđāļāļāđāļĄāđāļāļāđ āđāļāļāļāđ āļāļāļāļŠāļāļĢāļąāļāļāļąāđāļ āļāļģāļāļąāļ āđāļāļĒāļĄāļĩāļāđāļāļĄāļđāļĨāļāļĩāđāđāļāļĩāđāļĒāļ§āļāđāļāļ āļāļąāđāļāđāļāđāļ āļēāļāļāļĢāļĢāļĒāļēāļāļēāļĻāļāļēāļĢāļāļģāļāļēāļ āļĢāļđāļāļāđāļēāļĒāļāļāļāļāļĩāļĄāļāļēāļ āđāļāļāļāļāļķāļāļĢāļĩāļ§āļīāļ§āđāļāļīāļāļĨāļķāļāļāļāļāļāļēāļĢāļāļģāļāļēāļāļāļĩāđāļāļąāđāļ āļāļķāđāļāļāđāļāļĄāļđāļĨāļāļļāļāļāļĒāđāļēāļāļāļāļŦāļāđāļēāļāļāļāļāļĢāļīāļĐāļąāļ āđāļāđāļĄāļāļĩāļāļĩ. āļāļĩāđāļ§āļĨāļĨāđāļāļāđāļĄāđāļāļāđ āđāļāļāļāđ āļāļāļāļŠāļāļĢāļąāļāļāļąāđāļ āļāļģāļāļąāļ āļĄāļĩāļāļāļąāļāļāļēāļāļāļĩāđāļāļģāļĨāļąāļāļāļģāļāļēāļāļāļĩāđāļāļĢāļīāļĐāļąāļ āđāļāđāļĄāļāļĩāļāļĩ. āļāļĩāđāļ§āļĨāļĨāđāļāļāđāļĄāđāļāļāđ āđāļāļāļāđ āļāļāļāļŠāļāļĢāļąāļāļāļąāđāļ āļāļģāļāļąāļ āļŦāļĢāļ·āļāđāļāļĒāļāļģāļāļēāļāļāļĩāđāļāļąāđāļāļāļĢāļīāļāđ āđāļāđāļāļāļāđāļŦāđāļāđāļāļĄāļđāļĨāļāļĢāļīāļāļŠāļĄāļąāļāļĢāļāļēāļ āđāļāļāļĩāļāđāļēāļĢāđāļŠāļĄāļąāļāļĢāļāļēāļ āļ āļīāļĢāļĄāļĒāđāđāļĨāļāļāđāļŠāļĄāļąāļāļĢāļāļēāļ āđāļāļāļĨāļąāļŠāļŠāļĄāļąāļāļĢāļāļēāļ Baania