08/04/2026
Kế toán / Kiểm toán, Mới tốt nghiệp / Thực tập, Vận chuyển / Giao nhận / Kho vận
Thực tập
2 Tr - 5 Tr VND
Mới tốt nghiệp
10/05/2026
Payable
Ø Process outgoing payments in compliance with financial policies and procedures
Ø Perform day to day financial transactions, including verifying, classifying, and recording accounts payable data
Ø Reconcile the accounts payable ledger to ensure that all bills and payments are accounted for and properly posted.
Ø Verify and investigate discrepancies, if any, by reconciling vendor accounts and monthly vendor statements
Receivables
Ø Maintain accounts receivable records to ensure aging is up to date, credits and collections are applied, uncollectible amounts are accounted for, and miscellaneous differences are cleared
Ø Generating internal and VAT invoices and account statements
Ø Perform daily cash management duties, including the recording of bank deposits, updating and distribution of cash receipt logs, and posting of cash to the accounts receivable sub-ledger
Ø Monitor and collect accounts receivable by contacting clients via telephone, email, and mail
Others
Ø Support Chief accountant in month-end and year end closing
Ø Filing accounting documents
Ø Complete monthly and annual tax reports (VAT, PIT, FCT, CIT…)
Ø Prepare tax payments
Ø Organize and update the company’s tax database
Ø Other tasks assigned by Chief accountant