備注:這是一個(gè)6個(gè)月的短期崗位,如果介意,請(qǐng)慎投呀!
Key Responsibilities
1 Data Entry and Record Keeping:
- Accurately enter financial data into accounting software and spreadsheets.
- Maintain organized and up-to-date financial records, including invoices, receipts, and expense reports.
2 Accounts Payable and Receivable:
- Process and record vendor invoices and employee expense reports.
- Process and record Receivables invoice and prepare journal entries.
- Reconcile accounts and resolve discrepancies.
Treasury Responsibilities:
3 Cash Management
- Monitor and manage daily cash positions to ensure sufficient liquidity.
- Prepare and maintain cash flow forecasts to anticipate future cash needs.
- Check the reconciliation of bank accounts and resolve any discrepancies.
4 Banking Activities:
- Oversee banking transactions, including inbound and outbound wire transfers, timely update of bank statement items for each transaction.
- Upload payment request onto the banking system and make payment ready for approval by the Finance Manager.
- Download and process daily electronic banking files.
5 Petty Cash function
- Be familiar with the company’s Petty Cash policy and take full responsibilities of implementation and maintenance of internal controls related to petty cash.
- Receive and check supporting documents for the Petty Cash application.
- Upload payment request for approved Petty Cash application.
6 Chinese financial reporting and TAX filing.
- Prepare Chinese TB and financial statements for Chinese Statistics Bureau submission.
- Prepare journal entries for the monthly Output/Input VAT and surcharges of Chinese
TAX filing. Make payments of TAX accordingly on the E-system.
- Prepare Quarterly CIT filing and annual Stamp Duty Tax filing.
7 Financial Reporting:
- Assist with the review of drafted monthly financial statements and check if any adjustment needed before closing deadline.
- Assist in the preparation of annual budgets and forecasts.
8 Compliance and Audits:
- Ensure compliance with internal financial policies and external regulations.
- Assist in the preparation of documents and information for internal and external audits.
9 General Administrative Support:
- Establish and maintain good relationship with user departments. Answer phone calls and emails related to finance inquiries.
- Schedule meetings and appointments for the finance team.
- Assist with special projects as needed.
Qualifications
- Bachelor’s degree in Finance, Accounting, or a related field
- Strong proficiency in Office Software, particularly Excel.
- Strong proficiency in data analysis and can tackle complex analytical tasks.
- Be proficient of using varies on-line meeting devices.
- Experience with Accounting software, such as Oracle.
- Excellent attention to detail and accuracy.
- Strong organizational and time management skills.
- Ability to work independently and as part of a team.
備注:這是一個(gè)6個(gè)月的短期崗位,如果介意,請(qǐng)慎投呀!