Assistant Accounting Manager
CurrentOVERSEAS STORE• Check and correction Goods receiving transaction in system• Ensure consistency of transaction data in system and warehouse, store documentations• Solve issue and variance with related parties• Coordinate with stores and make adjustment to solve variances • Verify stock management report• Ensure consistency between team's COG calculation and COG data from operation team• Solve variances and review COG report before distributing to related parties• Close month end inventory in system • Reconcile accountB2P-BLOCKCHAIN• Coordinate with customers to explain submit invoice in the system and how to use it• Coordinate with digital ventures to report problems and follow up on solutions• Respond promptly to customer inquiries• Handle and resolve customer complaints• Reconcile interface data from one system to another• Check and confirm the payment with SCB• Reconcile Statement / Reconcile Payment