Responsibilities:
1 Receive, verify, and process cash, cheque, or other payments from customers, employees, and other parties
2 Issue receipts and record transactions accurately in a timely and careful manner
3 Execute cash payments to employees, customers, suppliers, or other parties or for approved expenditures or refunds
4 Count cash carefully to ensure that figure is in accordance with SAP
5 Responsible for bank business including domestic and oversea bank payment and coordination
6 Recognized VAT from supplier/employees in Tax system
7 Responsible for Alipay account reconcile and transfer monthly
8 Foreign exchange declaration of foreign currency receipts
9 Other tasks assigned by superior.
Requirements:
1 Bachelor degree in Finance or Accounting with Certificate of Accounting Professional.
2 Well informed in current financial subjects and policies, accounting, tax laws, and bank settlement service.
3 Good reporting and communication skills in both English and Chinese.
4 Careful and accountable willing to take over responsibility, work independently, meet deadlines and work under pressure.
岗位职责:
处理客户、员工等相关方的现金 / 支票等款项,开具收据并准确记录交易; 办理现金付款(含员工 / 供应商付款、批准支出及退款),清点现金确保与 SAP 系统一致; 负责境内外银行业务、支付宝月度对账转账及外币收款外汇申报; 在税务系统认证供应商 / 员工增值税(进项税); 完成上级交办的其他任务。
任职要求:
财务 / 会计本科 + 会计从业资格证; 熟悉财务制度、税法及银行结算业务; 具备良好的中英文报告与沟通能力; 细致负责、有担当,可独立工作、按期交付并承受压力。