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Starshine Future Limited is seeking a diligent accounting professional to maintain books and perform monthly closings for domestic and overseas entities and projects. You will handle revenue/cost recognition, accruals, intercompany reconciliations, and currency adjustments to ensure accurate, traceable financial data.
You will collaborate with accountants, tax advisors, and auditors across regions, consolidate data, and support audits while continually improving reporting processes and daily
This role involves maintaining accounting books and performing month-end closing for domestic and overseas entities and various projects. You will manage revenue and cost recognition, expense accruals, intercompany reconciliations, and currency adjustments while ensuring financial data is clear, accurate, and traceable.
Maintain accounting books and perform month-end closing for domestic and overseas entities and various projects, including revenue and cost recognition, expense accruals, intercompany reconciliations, and currency adjustments
Collect and reconcile financial data across entities and projects; prepare project-level income statements, balance sheets, and internal management reports
Review and establish accounting treatments for revenue, costs, receivables, payables, and fund flows based on business operations
Reconcile business ledgers, system data, bank statements, and book balances; investigate variances and drive corrective actions
Assist in consolidating group-level financial data, reconciling inter-entity balances, and preparing materials for annual audits and management requests
Liaise with accountants, tax advisors, audit firms, and company secretaries in different countries/regions; coordinate tax filings, annual compliance, and document submissions
Participate in the setup of new overseas entities, new projects, and related licensing/registration matters
Maintain communication with business, operations, treasury, and technology teams to continuously improve financial reporting, data reconciliation, and daily workflows
Proactively gather information and develop solutions for emerging issues, and follow through on implementation
Bachelor's degree or above in Accounting, Financial Management, Auditing, Finance, or related disciplines
2-4 years of experience in financial accounting, management reporting, auditing, tax, or related fields
Familiar with book management and month-end closing processes; able to perform revenue/cost recognition, intercompany reconciliations, and project data organization
Strong data logic skills, with the ability to identify discrepancies among reports, ledgers, and transaction records and analyze root causes
Proficient in Excel, including common functions, pivot tables, and data matching/lookup
Detail-oriented, with good learning, communication, and follow-through abilities
Fluent in Mandarin, with good English reading and writing skills to handle daily email correspondence and work documents
Preferred: Experience in multi-entity or multi-project financial accounting or management reporting
Preferred: Exposure to consolidated reporting, business data reconciliation, or settlement/clearing work
Preferred: Experience in overseas entities, cross-border business, internet platforms, payment, or fintech industries