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- Responsible for producing and submitting accurate analyst reports (Profit & Loss, Budget, Cost Recovery, Billing/Collection, and Cash Flow Status).
- Handle daily accounting functions and monthly closing activities, including preparation and processing of month-end journals.
- Prepare month-end reconciliations and analyze general ledger accounts, expenses, and development expenditure.
- Prepare management accounts and financial reports.
- Monitor daily financial operations within the company, such as invoicing, stock, cash float, and other transactions.
- Liaise with tax agents, auditors, bank officers, and other authorities as necessary.
- Advise the Director on the company's financial status and highlight areas for potential improvement.
- Possess full knowledge of salary payment schemes.
- Perform full bookkeeping of sales and purchase stocks.
Requirements
- Candidate must possess at least:
- 1 Year of working experience in a related field.
- Required Skills:
- Diploma, Advanced/Higher/Graduate Diploma, Bachelor’s Degree in Finance/Accountancy or equivalent.
- Previous audit experience is an advantage.
- Knowledge of SQL Accounting System.
- Proficient in Microsoft Office (Word, Excel, PowerPoint).
- Fluent in speaking, reading, and writing in Mandarin is an advantage.
- Able to work independently with minimal supervision.
- Able to work under pressure and meet deadlines.
- Strong communication and presentation skills.
- Initiative, proactive, and positive work attitude.
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Your application will include the following questions:
- What's your expected monthly basic salary?
- Which of the following qualifications do you have?
- How many years' experience do you have as an account executive?
- Which of the following accounting tasks are you familiar with?
- How many years of bookkeeping experience do you have?
- How many years of taxation experience do you have?
- Do you have reconciliations experience?
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