Responsibilities:
- Prepares Bank reconciliation, Journal Adjustment and Financial Reports;
- Keep track of bank accounts and balances at any time, track the status of payment arrival, and make fund transfers;
- Preparing cheques and Online transaction for local and oversea suppliers;
- Review and process settlement services such as external payments, employee reimbursements, and salary payments;
- Any other ad hoc work.
Requirements:
- ITE/Diploma or above, major in accounting;
- At least one year of financial work experience;
- Familiar in Microsoft Office;
- Candidates requested liaise with English & Chinese customer. Knowledge of English & Chinese dialects is essential.