Finance Manager

Haitian Group

São Paulo

Presencial

BRL 60 000 - 90 000

Tempo integral

Há 3 dias
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Resumo da oferta

Haitian Group in São Paulo, Brazil, is seeking a Finance/Accounts professional to manage the full set of accounts including GL, AP, AR, bank reconciliation and payroll, with emphasis on timely month-end closes and accurate records.

You will ensure AR/AP, cash receipts, revenue and expenditures, and support quarterly GST tax returns, audits, and consolidation activities in line with headquarters standards. Fluency in English and Mandarin is required.

Qualificações

  • Diploma in accountancy/business administration with strong accounting grades.
  • Minimum 2 years of relevant experience; audit/group consolidation is a plus.
  • Experience in SAP accounting software preferred.
  • Candidates with accounting background in listed companies / MNCs / Big 4 preferred.
  • Open and collaborative, comfortable with ambiguity.
  • High integrity and ethical standards with a collaborative attitude.
  • Effective verbal and written communication skills in English and Mandarin.

Responsabilidades

  • Maintain full set of accounts including GL, AP, AR, Bank reconciliation and payroll.
  • Manage AR/AP, cash receipts, GL, payroll, revenue and expenditure.
  • Ensure accuracy of accounting records.
  • Ensure timely month-end closing of accounts.
  • Standardize processes and align with headquarters requirements.
  • Prepare and timely submit quarterly GST and annual tax returns.
  • Assist in annual audits and filing of annual returns.
  • Assist tax agent in annual tax filings.
  • Assist finance outsource provider on group accounting and consolidation activities.
  • Support ad-hoc duties and projects as assigned.

Conhecimentos

English communication
Mandarin communication

Formação académica

Diploma in accountancy/business administration

Ferramentas

SAP

Descrição da oferta de emprego

  • 1. Full set of Accounts including program (GL, AP, AR, Bank reconciliation, Payroll & etc).
  • 2. Responsible for AR/AP, cash receipt, GL, payroll, revenue and expenditure.
  • 3. Ensure accuracy of accounts records.
  • 4. Timely month end closing for accounts.
  • 5. Sort out the operation process and formulate standards in accordance with the requirements of the headquarters
  • 6. Preparation and timely submission of quarterly GST and annual tax returns.
  • 7. Assist in annual audits and filing of annual returns.
  • 8. Assist tax agent in annual tax filing.
  • 9. Assist finance outsource provider on group accounting and consolidation activities.
  • 10. To support ad-hoc duties and projects as assigned.
Requirements
  • 1. At least diploma in accountancy/business administrative with good grading in Accountancy
  • 2. Minimum 2 years of relevant working experience and experience in audit/group consolidation is an advantage.
  • 3. Experience in SAP accounting software preferred.
  • 4. Candidates with accounting background in listed companies / MNCs / Big 4 are preferred.
  • 5. Open and collaborative and dealing with ambiguity and unstructured setting.
  • 6. High integrity and ethics and a collaborative work attitude.
  • 7. Effective verbal and written communication skills in English and Mandarin.
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