Job Description
Post and process
journal entries to ensure all business transactions are recorded
Ensure proper
budget control and coordinate with other departments to ensure that all costs
are accurately tracked on a monthly accrual basis
Update accounts
payable and reconciliations
Assist in the
processing of balance sheets, income statements and other financial statements
according to legal and company accounting and financial guidelines
Handle monthly,
quarterly and annual closings
Update financial
data in databases to ensure that information will be accurate and immediately
available when needed
Mange daily bank
balances and foreign exchange exposure monitoring
Fund plan daily
management and capital Management
Ensure timely
bank payments
Report on the
company’s financial health and liquidity
Reinforce
financial data confidentiality and conduct database backups when necessary
Prepare &
comply with financial policies and regulations
Job Requirements
Bachelor's
degree in accounting or finance
0-2 years of
experience in accounting
Very good
English is a must
Very good user
of MS Office
Strong
Analytical skills and ability to work under pressure, able to proactively
communicate and solve problems independently
Strong sense of
responsibility, strong executive ability and teamwork spirit
Knowledge of
IFRS, ACCA, CMA or International Accounting Firm working experience is a plus
Job Details
Experience Needed:0
To 2 Years
Career Level:Entry
Level (Junior Level / Fresh Grad)