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Finance and Accounting Officer (1-Year Contract)

Teleport · Chatuchak, Bangkok

📅 11/08/2026
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Teleport (Thailand) is seeking a detail-oriented Finance Executive to support our daily operations across Accounts Payable, Accounts Receivable, Tax Compliance, and Cash Management. This role plays a key part in ensuring accurate financial processing, compliance with local regulations, and smooth coordination with internal and external stakeholders. Accounts Payable (AP) Review, code, and process supplier invoices, employee expense claims, and payments in accordance with company policies and procedures. Ensure timely and accurate processing of payments via various methods (e.g., bank transfer, cheque, online platforms). Maintain and update vendor master data, ensuring completeness and accuracy of required documentation. Assist in the AP month-end closing process, including accruals, reconciliations, and reporting. Collaborate with the Shared Services Center and internal departments to resolve invoice discrepancies and ensure smooth workflow. Accounts Receivable (AR) Reconcile sales reports with bank statements to ensure accurate revenue recognition. Issue customer invoices and ensure billing accuracy based on contractual terms or delivery documentation. Track outstanding receivables and follow up with customers on overdue payments. Coordinate with internal teams (Sales, Customer Service) and Shared Services to resolve billing or collection issues. Tax Compliance Reconcile VAT (Value Added Tax) and WHT (Withholding Tax) balances between physical documents and the General Ledger. Ensure proper collection and filing of tax documents, including Tax Invoices, Receipts, and Prepaid Withholding Tax certificates. Liaise with external tax consultants and government authorities to ensure compliance and timely submission of tax reports. Banking & Cash Management Prepare and update detailed weekly Bank Balance Reports, including breakdowns by account and currency. Monitor daily cash flow and support the manager in financial planning and cash position analysis. Required Qualifications Bachelor's degree in Finance, Accounting, or a related field. 0-2 years of experience in finance, accounting, or a related role. Proficient in accounting software (e.g., Oracle). Strong skills in Microsoft Excel and financial analysis. Good communication skills in English (both written and spoken).
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