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Store & Receiving Supervisor

ðŸ‡đ🇭 Thailand

Logistics

Management

Finance

Store & Receiving Supervisor

from ðŸ‡đ🇭 Thailand

A luxury hospitality brand for modern travellers, Anantara connects guests to genuine places, people and stories through personal experiences and providing heartfelt hospitality in the world’s most exciting destinations. From pristine islands and tropical beaches to cosmopolitan cities, tranquil deserts and lush jungles, Anantara welcomes guests for journeys rich in discovery.

Anantara Bophut Koh Samui Resort invites you to savour unforgettable getaways in the glittering Gulf of Siam. Stylish sunlit rooms and spacious suites surround a palm-shaded pool, just steps from the sand.

Step into a majestic sanctuary and indulge in blissful treatments at the Bill Bensley-designed spa. Leave the little ones to have a blast at the kids' club while you savour fresh flavours from land and sea at Full Moon restaurant, overlooking the ocean. Spend lazy days by the pool or stroll to nearby Fisherman's Village for a taste of local culture, with dazzling fire shows and a sizzling culinary scene.

    1. DUTIES AND RESPONSIBILITIES
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1. Receiving & Quality Control / āļāļēāļĢāļĢāļąāļšāļŠāļīāļ™āļ„āđ‰āļēāđāļĨāļ°āļāļēāļĢāļ„āļ§āļšāļ„āļļāļĄāļ„āļļāļ“āļ āļēāļž

  • Examine quality and quantity of all goods delivered against Purchase Orders (PO) and Market Lists.(āļ•āļĢāļ§āļˆāļŠāļ­āļšāļ„āļļāļ“āļ āļēāļžāđāļĨāļ°āļ›āļĢāļīāļĄāļēāļ“āļ‚āļ­āļ‡āļŠāļīāļ™āļ„āđ‰āļēāļ—āļĩāđˆāļ™āļģāđ€āļ‚āđ‰āļēāđ€āļ—āļĩāļĒāļšāļāļąāļšāđƒāļšāļŠāļąāđˆāļ‡āļ‹āļ·āđ‰āļ­āđāļĨāļ°āļĢāļēāļ„āļēāļāļĨāļēāļ‡āļ›āļĢāļ°āļˆāļģāļ§āļąāļ™)
  • Verify food safety standards, expiry dates, and temperatures for perishable items upon delivery.(āļ•āļĢāļ§āļˆāļŠāļ­āļšāļĄāļēāļ•āļĢāļāļēāļ™āļ„āļ§āļēāļĄāļ›āļĨāļ­āļ”āļ āļąāļĒāļ­āļēāļŦāļēāļĢ āļ§āļąāļ™āļŦāļĄāļ”āļ­āļēāļĒāļļ āđāļĨāļ°āļ­āļļāļ“āļŦāļ āļđāļĄāļīāļ‚āļ­āļ‡āļŠāļīāļ™āļ„āđ‰āļēāļŠāļ”āļ‚āļ“āļ°āļĢāļąāļšāļĄāļ­āļš)
  • Ensure all goods received are properly recorded in the system with complete supporting documentation.(āļšāļąāļ™āļ—āļķāļāļĢāļēāļĒāļāļēāļĢāļĢāļąāļšāļŠāļīāļ™āļ„āđ‰āļēāđ€āļ‚āđ‰āļēāļŠāļđāđˆāļĢāļ°āļšāļšāđƒāļŦāđ‰āļ–āļđāļāļ•āđ‰āļ­āļ‡āļžāļĢāđ‰āļ­āļĄāđ€āļ­āļāļŠāļēāļĢāļ›āļĢāļ°āļāļ­āļšāļ—āļĩāđˆāļ„āļĢāļšāļ–āđ‰āļ§āļ™)

2. Inventory Management & Security / āļāļēāļĢāļšāļĢāļīāļŦāļēāļĢāļŠāļ•āđ‡āļ­āļāđāļĨāļ°āļ„āļ§āļēāļĄāļ›āļĨāļ­āļ”āļ āļąāļĒ

  • Safeguard and control hotel inventories to prevent loss, theft, or unauthorized access.(āļ”āļđāđāļĨāđāļĨāļ°āļ„āļ§āļšāļ„āļļāļĄāļŠāļīāļ™āļ„āđ‰āļēāļ„āļ‡āļ„āļĨāļąāļ‡āļ‚āļ­āļ‡āđ‚āļĢāļ‡āđāļĢāļĄāđƒāļŦāđ‰āļ›āļĨāļ­āļ”āļ āļąāļĒ āļ›āđ‰āļ­āļ‡āļāļąāļ™āļāļēāļĢāļŠāļđāļāļŦāļēāļĒ āļŦāļĢāļ·āļ­āļāļēāļĢāđ€āļ‚āđ‰āļēāļ–āļķāļ‡āđ‚āļ”āļĒāđ„āļĄāđˆāđ„āļ”āđ‰āļĢāļąāļšāļ­āļ™āļļāļāļēāļ•)
  • Monitor expiration dates and slow-moving items to prevent spoilage and financial loss.(āļ•āļĢāļ§āļˆāļŠāļ­āļšāļ§āļąāļ™āļŦāļĄāļ”āļ­āļēāļĒāļļāđāļĨāļ°āļ•āļīāļ”āļ•āļēāļĄāļŠāļīāļ™āļ„āđ‰āļēāļ—āļĩāđˆāđ€āļ„āļĨāļ·āđˆāļ­āļ™āđ„āļŦāļ§āļŠāđ‰āļēāđ€āļžāļ·āđˆāļ­āļ›āđ‰āļ­āļ‡āļāļąāļ™āļāļēāļĢāđ€āļŠāļ·āđˆāļ­āļĄāļŠāļ āļēāļžāđāļĨāļ°āļ āļēāļ§āļ°āļ‚āļēāļ”āļ—āļļāļ™)
  • Issue goods only upon receipt of a properly authorized requisition.(āļˆāđˆāļēāļĒāļŠāļīāļ™āļ„āđ‰āļēāļ­āļ­āļāļˆāļēāļāļ„āļĨāļąāļ‡āđ€āļ‰āļžāļēāļ°āđ€āļĄāļ·āđˆāļ­āļĄāļĩāđƒāļšāđ€āļšāļīāļāļ—āļĩāđˆāđ„āļ”āđ‰āļĢāļąāļšāļāļēāļĢāļ­āļ™āļļāļĄāļąāļ•āļīāļ­āļĒāđˆāļēāļ‡āļ–āļđāļāļ•āđ‰āļ­āļ‡āđ€āļ—āđˆāļēāļ™āļąāđ‰āļ™)

3. Procurement Monitoring & Open PO Tracking / āļāļēāļĢāļ•āļīāļ”āļ•āļēāļĄāļāļēāļĢāļˆāļąāļ”āļ‹āļ·āđ‰āļ­āđāļĨāļ°āļĢāļēāļĒāļāļēāļĢāļŠāļąāđˆāļ‡āļ‹āļ·āđ‰āļ­āļ„āļ‡āļ„āđ‰āļēāļ‡

  • Prepare and maintain accurate records of open Purchase Orders (POs), including tracking pending, partial, and overdue deliveries.(āļˆāļąāļ”āđ€āļ•āļĢāļĩāļĒāļĄāđāļĨāļ°āļ”āļđāđāļĨāļ‚āđ‰āļ­āļĄāļđāļĨāļĢāļēāļĒāļāļēāļĢāļŠāļąāđˆāļ‡āļ‹āļ·āđ‰āļ­āļ„āļ‡āļ„āđ‰āļēāļ‡ (Open PO) āđƒāļŦāđ‰āļ–āļđāļāļ•āđ‰āļ­āļ‡ āļĢāļ§āļĄāļ–āļķāļ‡āļ•āļīāļ”āļ•āļēāļĄāļĢāļēāļĒāļāļēāļĢāļ—āļĩāđˆāļ„āđ‰āļēāļ‡āļŠāđˆāļ‡ āļŠāđˆāļ‡āđ„āļĄāđˆāļ„āļĢāļš āļŦāļĢāļ·āļ­āđ€āļāļīāļ™āļāļģāļŦāļ™āļ”)
  • Coordinate closely with the Souring Department and requesting departments to obtain status updates.(āļ›āļĢāļ°āļŠāļēāļ™āļ‡āļēāļ™āļāļąāļšāļāđˆāļēāļĒāļŠāļĢāļĢāļŦāļēāļŠāļīāļ™āļ„āđ‰āļēāđāļĨāļ°āđāļœāļ™āļāļœāļđāđ‰āļ‚āļ­āđ€āļžāļ·āđˆāļ­āļ­āļąāļ›āđ€āļ”āļ•āļŠāļ–āļēāļ™āļ°āđāļĨāļ°āļāļģāļŦāļ™āļ”āđ€āļ§āļĨāļēāļāļēāļĢāļŠāđˆāļ‡āļĄāļ­āļšāļŠāļīāļ™āļ„āđ‰āļē)
  • Identify long-outstanding POs and support follow-up actions to ensure timely closure for financial accuracy.(āļĢāļ°āļšāļļāļĢāļēāļĒāļāļēāļĢāļŠāļąāđˆāļ‡āļ‹āļ·āđ‰āļ­āļ—āļĩāđˆāļ„āđ‰āļēāļ‡āļ™āļēāļ™āđāļĨāļ°āļŠāļ™āļąāļšāļŠāļ™āļļāļ™āļāļēāļĢāļ•āļīāļ”āļ•āļēāļĄāđ€āļžāļ·āđˆāļ­āļ›āļīāļ”āļĢāļēāļĒāļāļēāļĢāđƒāļŦāđ‰āļ–āļđāļāļ•āđ‰āļ­āļ‡āļ•āļēāļĄāļ‡āļ§āļ”āļšāļąāļāļŠāļĩ)

4. Compliance & FSMS Documentation / āđ€āļ­āļāļŠāļēāļĢāļ„āļ§āļēāļĄāļ›āļĨāļ­āļ”āļ āļąāļĒāļ­āļēāļŦāļēāļĢāđāļĨāļ°āļ‚āđ‰āļ­āļāļģāļŦāļ™āļ”

  • Food Safety Management System (FSMS): Maintain completeness of FSMS documentation including Food Deliveries Records, Storage Records, and Supplier Complaint Reports.(āļĢāļąāļšāļœāļīāļ”āļŠāļ­āļšāļˆāļąāļ”āļ—āļģāđāļĨāļ°āļ„āļ§āļšāļ„āļļāļĄāđ€āļ­āļāļŠāļēāļĢāļ•āļēāļĄāļĢāļ°āļšāļš FSMS āđ€āļŠāđˆāļ™ Food Deliveries Record āđāļĨāļ° Storage Record āđƒāļŦāđ‰āļ„āļĢāļšāļ–āđ‰āļ§āļ™)
  • Receiving Price Verification: Verify that prices on receiving documents match approved POs and resolve discrepancies prior to system posting.(āļ•āļĢāļ§āļˆāļŠāļ­āļšāļĢāļēāļ„āļēāļšāļ™āđ€āļ­āļāļŠāļēāļĢāļĢāļąāļšāļŠāļīāļ™āļ„āđ‰āļēāđƒāļŦāđ‰āļ•āļĢāļ‡āļāļąāļšāđƒāļšāļŠāļąāđˆāļ‡āļ‹āļ·āđ‰āļ­ āđāļĨāļ°āļ›āļĢāļ°āļŠāļēāļ™āļāđˆāļēāļĒāļˆāļąāļ”āļ‹āļ·āđ‰āļ­āđ€āļžāļ·āđˆāļ­āđāļāđ‰āđ„āļ‚āļāđˆāļ­āļ™āļšāļąāļ™āļ—āļķāļāđƒāļ™āļĢāļ°āļšāļš)
     

 

5. Finance & Accounts Coordination / āļāļēāļĢāļ›āļĢāļ°āļŠāļēāļ™āļ‡āļēāļ™āļ”āđ‰āļēāļ™āļāļēāļĢāđ€āļ‡āļīāļ™āđāļĨāļ°āļšāļąāļāļŠāļĩ

  • Tax & Billing: Prepare and submit tax invoices to the Tax team and receive vendor invoices for PO issuance.(āļˆāļąāļ”āđ€āļ•āļĢāļĩāļĒāļĄāđ€āļ­āļāļŠāļēāļĢāļāļģāļāļąāļšāļ āļēāļĐāļĩāļŠāđˆāļ‡āļ—āļĩāļĄāļ āļēāļĐāļĩ āđāļĨāļ°āļĢāļąāļšāļ§āļēāļ‡āļšāļīāļĨāļˆāļēāļāļœāļđāđ‰āļ‚āļēāļĒāđ€āļžāļ·āđˆāļ­āļŠāđˆāļ‡āļ•āđˆāļ­āđāļœāļ™āļāļ—āļĩāđˆāđ€āļāļĩāđˆāļĒāļ§āļ‚āđ‰āļ­āļ‡āđ€āļžāļ·āđˆāļ­āļ­āļ­āļ PO āđƒāļ™āļĢāļ°āļšāļš)
  • Accounts Payable Support: Coordinate regarding deposit payments, urgent payments, overseas supplier payments, and recurring direct payments.(āļ›āļĢāļ°āļŠāļēāļ™āļ‡āļēāļ™āļāđˆāļēāļĒāđ€āļˆāđ‰āļēāļŦāļ™āļĩāđ‰āđ€āļāļĩāđˆāļĒāļ§āļāļąāļšāļāļēāļĢāļˆāđˆāļēāļĒāđ€āļ‡āļīāļ™āļĄāļąāļ”āļˆāļģ āļĢāļēāļĒāļāļēāļĢāđ€āļĢāđˆāļ‡āļ”āđˆāļ§āļ™ āļĢāļēāļĒāļāļēāļĢāļ•āđˆāļēāļ‡āļ›āļĢāļ°āđ€āļ—āļĻ āđāļĨāļ°āļ„āđˆāļēāđƒāļŠāđ‰āļˆāđˆāļēāļĒāļĢāļēāļĒāđ€āļ”āļ·āļ­āļ™āļ„āļ‡āļ—āļĩāđˆ)
  • Asset Tagging & Distribution: Distribute Asset Barcodes to relevant departments and proactively monitor the physical tagging process to ensure all newly acquired assets are properly identified and tracked.

(āļŠāđˆāļ‡āļĄāļ­āļšāļĢāļŦāļąāļŠāđāļĨāļ°āļ•āļīāļ”āļšāļēāļĢāđŒāđ‚āļ„āđ‰āļ”āļ—āļĢāļąāļžāļĒāđŒāļŠāļīāļ™: āļˆāļąāļ”āļŠāđˆāļ‡āļšāļēāļĢāđŒāđ‚āļ„āđ‰āļ”āļ—āļĢāļąāļžāļĒāđŒāļŠāļīāļ™ (Asset Barcode) āđƒāļŦāđ‰āļāļąāļšāđāļœāļ™āļāļ—āļĩāđˆāđ€āļāļĩāđˆāļĒāļ§āļ‚āđ‰āļ­āļ‡ āđāļĨāļ°āļ•āļīāļ”āļ•āļēāļĄāļāļēāļĢāļ™āļģāļšāļēāļĢāđŒāđ‚āļ„āđ‰āļ”āđ„āļ›āļ•āļīāļ”āļ—āļĩāđˆāļ•āļąāļ§āļ—āļĢāļąāļžāļĒāđŒāļŠāļīāļ™āļˆāļĢāļīāļ‡āđƒāļ™āđāļœāļ™āļāļ›āļĨāļēāļĒāļ—āļēāļ‡ āđ€āļžāļ·āđˆāļ­āđƒāļŦāđ‰āļĄāļąāđˆāļ™āđƒāļˆāļ§āđˆāļēāļŠāļīāļ™āļ—āļĢāļąāļžāļĒāđŒāđƒāļŦāļĄāđˆāļ—āļąāđ‰āļ‡āļŦāļĄāļ”āđ„āļ”āđ‰āļĢāļąāļšāļāļēāļĢāļĢāļ°āļšāļļāļ•āļąāļ§āļ•āļ™āđāļĨāļ°āļšāļąāļ™āļ—āļķāļāđƒāļ™āļĢāļ°āļšāļšāļ­āļĒāđˆāļēāļ‡āļ–āļđāļāļ•āđ‰āļ­āļ‡)

       Period-end Closing / āļāļēāļĢāļ›āļīāļ”āļšāļąāļāļŠāļĩāļ›āļĢāļ°āļˆāļģāļ‡āļ§āļ”

    • Coordinate daily weekly and period-end entries: submit non-recurring accruals, journal entry requests, and prepaid amortization schedules to BPO with DOF approval.(āļ›āļĢāļ°āļŠāļēāļ™āļ‡āļēāļ™āļĢāļēāļĒāļāļēāļĢāļ›āļīāļ”āļšāļąāļāļŠāļĩāļ›āļĢāļ°āļˆāļģāļ‡āļ§āļ” āļĢāļ§āļĄāļ–āļķāļ‡āļĢāļēāļĒāļāļēāļĢāļĢāļēāļĒāļ§āļąāļ™ āļĢāļēāļĒāļŠāļąāļ›āļ”āļēāļŦāđŒ āđāļĨāļ°āļ›āļĢāļ°āļˆāļģāđ€āļ”āļ·āļ­āļ™: āļˆāļąāļ”āļŠāđˆāļ‡āļ„āđˆāļēāđƒāļŠāđ‰āļˆāđˆāļēāļĒāļ„āđ‰āļēāļ‡āļˆāđˆāļēāļĒāļ—āļĩāđˆāđ„āļĄāđˆāđ€āļāļīāļ”āļ‚āļķāđ‰āļ™āļ›āļĢāļ°āļˆāļģ āļ„āļģāļ‚āļ­āļĨāļ‡āļĢāļēāļĒāļāļēāļĢāļšāļąāļāļŠāļĩ āđāļĨāļ°āļ•āļēāļĢāļēāļ‡āļ•āļąāļ”āļˆāļģāļŦāļ™āđˆāļēāļĒāļ„āđˆāļēāđƒāļŠāđ‰āļˆāđˆāļēāļĒāļˆāđˆāļēāļĒāļĨāđˆāļ§āļ‡āļŦāļ™āđ‰āļēāđƒāļŦāđ‰ BPO āđ‚āļ”āļĒāđ„āļ”āđ‰āļĢāļąāļšāļāļēāļĢāļ­āļ™āļļāļĄāļąāļ•āļīāļˆāļēāļ DOF)
    • Support GSSC/BPO for month-end financial close: provide data to GSSC/BPO, and clear balance sheet reconciliation open items.(āļŠāļ™āļąāļšāļŠāļ™āļļāļ™ GSSC/BPO āđƒāļ™āļāļēāļĢāļ›āļīāļ”āļšāļąāļāļŠāļĩāļŠāļīāđ‰āļ™āđ€āļ”āļ·āļ­āļ™: āļˆāļąāļ”āđ€āļ•āļĢāļĩāļĒāļĄāļ‚āđ‰āļ­āļĄāļđāļĨāđƒāļŦāđ‰ GSSC/BPO āđāļāđ‰āđ„āļ‚āļĢāļēāļĒāļāļēāļĢāļ„āđ‰āļēāļ‡āđƒāļ™āļāļēāļĢāļāļĢāļ°āļ—āļšāļĒāļ­āļ”āļ‡āļšāļ”āļļāļĨ)

Internal Audit & Compliance Governance Assessment (CGA) Support / āļāļēāļĢāļŠāļ™āļąāļšāļŠāļ™āļļāļ™āļāļēāļĢāļ•āļĢāļ§āļˆāļŠāļ­āļšāļ āļēāļĒāđƒāļ™āđāļĨāļ°āļāļēāļĢāļ›āļĢāļ°āđ€āļĄāļīāļ™ CGA

    • Serve as the on-site finance focal point for auditors, regulators, banks, and tax authorities; maintain physical accounting records per compliance requirements.(āļ—āļģāļŦāļ™āđ‰āļēāļ—āļĩāđˆāđ€āļ›āđ‡āļ™āļœāļđāđ‰āļ›āļĢāļ°āļŠāļēāļ™āļ‡āļēāļ™āļ”āđ‰āļēāļ™āļāļēāļĢāđ€āļ‡āļīāļ™āļ āļēāļĒāđƒāļ™āđ‚āļĢāļ‡āđāļĢāļĄāļŠāļģāļŦāļĢāļąāļšāļœāļđāđ‰āļ•āļĢāļ§āļˆāļŠāļ­āļšāļšāļąāļāļŠāļĩ āļŦāļ™āđˆāļ§āļĒāļ‡āļēāļ™āļāļģāļāļąāļšāļ”āļđāđāļĨ āļ˜āļ™āļēāļ„āļēāļĢ āđāļĨāļ°āļŦāļ™āđˆāļ§āļĒāļ‡āļēāļ™āļ āļēāļĐāļĩ āļžāļĢāđ‰āļ­āļĄāļ—āļąāđ‰āļ‡āļ”āļđāđāļĨāđ€āļ­āļāļŠāļēāļĢāļšāļąāļāļŠāļĩāļ•āļēāļĄāļ‚āđ‰āļ­āļāļģāļŦāļ™āļ”āļāļēāļĢāļ›āļāļīāļšāļąāļ•āļīāļ•āļēāļĄāļāļŽāļŦāļĄāļēāļĒ)
    • Support internal audit processes and Compliance Governance Assessment (CGA): coordinate document preparation, facilitate audit walkthroughs, track findings, and follow up on corrective action plans to ensure timely closure.(āļŠāļ™āļąāļšāļŠāļ™āļļāļ™āļāļĢāļ°āļšāļ§āļ™āļāļēāļĢāļ•āļĢāļ§āļˆāļŠāļ­āļšāļ āļēāļĒāđƒāļ™āđāļĨāļ°āļāļēāļĢāļ›āļĢāļ°āđ€āļĄāļīāļ™āļāļēāļĢāļāļģāļāļąāļšāļ”āļđāđāļĨāļāļēāļĢāļ›āļāļīāļšāļąāļ•āļīāļ•āļēāļĄāļāļŽāļĢāļ°āđ€āļšāļĩāļĒāļš (CGA): āļ›āļĢāļ°āļŠāļēāļ™āļ‡āļēāļ™āļāļēāļĢāļˆāļąāļ”āđ€āļ•āļĢāļĩāļĒāļĄāđ€āļ­āļāļŠāļēāļĢ āļ­āļģāļ™āļ§āļĒāļ„āļ§āļēāļĄāļŠāļ°āļ”āļ§āļāđƒāļ™āļāļēāļĢāļ•āļĢāļ§āļˆāļŠāļ­āļš āļ•āļīāļ”āļ•āļēāļĄāļœāļĨāļāļēāļĢāļ•āļĢāļ§āļˆāļžāļš āđāļĨāļ°āļ”āļģāđ€āļ™āļīāļ™āļāļēāļĢāļ•āđˆāļ­āđ€āļ™āļ·āđˆāļ­āļ‡āļ•āļēāļĄāđāļœāļ™āđāļāđ‰āđ„āļ‚āđƒāļŦāđ‰āđāļĨāđ‰āļ§āđ€āļŠāļĢāđ‡āļˆāļ•āļēāļĄāļāļģāļŦāļ™āļ”āđ€āļ§āļĨāļē)

 

  • Bachelor’s degree in Logistics, Supply Chain Management, Hospitality Management, Business Administration, or a related field.

  • Minimum 2–3 years of experience in Store, Receiving, or Inventory Control operations, preferably in the hospitality industry.

  • Strong knowledge of receiving procedures, inventory management, and stock control systems.

  • Familiar with food safety standards, HACCP, FIFO, and proper storage practices.

  • Good understanding of purchasing procedures and supplier documentation.

  • Proficient in Microsoft Office and inventory management systems (e.g., Sun, MC, Material Control, or related systems).

  • Strong leadership and supervisory skills with the ability to manage and motivate a team.

  • Good analytical, organizational, and problem-solving abilities.

  • Attention to detail with high accuracy in documentation and reporting.

  • Good communication skills in both Thai and English.

  • Ability to work under pressure and meet operational deadlines.

  • Honest, responsible, and service-minded attitude.

Thai Nationality Only

by @maxrusakovic