Responsibilities
- Maintain and prepare financial statements
- Perform treasury functions (follow up on FX transactions execution and confirmation, reporting, liaising with HQ, banks)
- Manage payment and expenses reimbursements, ensuring proper documentation is in place
- Budgeting and cash flow management
- Manage corporate secretarial matters (with the help of service provider) as well as relationship with vendors, professional services providers
Requirements
- 3 – 5 years of accounting/audit experience
- Intermediate to advanced MS Excel skills (Pivot Table, SUMIF, etc.)
- Ability to read and write in Chinese (there will be some written correspondence in Chinese with counterparts in Taiwan and China)
- Some interest in or general understanding of FinTech industry is a plus
To apply, kindly submit your resume (MS Word format is preferred) via the 'Apply' button.