Search Results: 57 职位空缺

Airstar Bank Limited, a jointly established entity between Xiaomi Corporation and AMTD Group, is a virtual bank licensed by the Hong Kong Monetary Authority. Responsibilities: # Provide overall strategic plan to drive and grow a new product line of the FI, CMB and... 

Airstar Bank Limited

尖沙咀
6 天前
 ...llenging career. Job Description To prepare vouchers, monthly customer statements & accounting schedules To prepare bank reconciliation To follow up account receivable related issues To assist in periodical stocktakes To assist in preparing regular re... 

亞積邦租賃有限公司 AP Rentals Limited

尖沙咀
6 天前
 ...reds of millions HKD. We are working with top tier private banking and retail banking to provide a wide range of premium financi...  ...pare vouchers, statement, etc Perform sales and settlement reconciliation Assist in preparing month-end closing, reports and analysi... 

Hong Kong Baiji Financial Advisory

尖沙咀
5 天前
 ...ies Responsible for invoice checking, processing payment at bank (both trade & non trade) and in accounting system Responsib...  ... Responsible for bank fund transfer, account entries and bank reconciliation Assist month end closing Assist in JSOX compliance and a... 

Find Asia Limited

尖沙咀
2 天前
 ...sible for daily accounting dutie Handle invoicing, AP, AR, vouchers, general entry and filing Monthly closing, such as bank reconciliation, preparing schedules for cheque transactions, petty cash Perform general administrative duties, phone calls Ad-hoc pro... 
尖沙咀
3 天前
Our clients are fast expanding global corporate bank and now looking for high calibre to join their group. Responsibilities: ...  ...sh management daily operations, including payments processing, reconciliation, investigation to ensure optimal and efficient payment operati... 

Conners Consulting Limited

尖沙咀
7 天前
 ... and ensure smooth transition of accounts payable operations ~Monitor daily cash flow and arrange funds transfer ~Ensure bank reconciliation performed promptly, deliver expenses analysis report and cash flow projection ~Maintain and implement strong internal cont... 

SINO GROUP

尖沙咀
25 天前
 ...e the role for you. Key Responsibilities: You are responsible for checking and making correct and on-time payments and bank reconciliation as well as Petty Cash Control. You manage the Fixed Assets as per the Global Accounting Routines and local legislation an... 

H&M

尖沙咀
3 天前
 ...day.   Responsibilities: Manage full set of accounts, including daily accounting entries, inter-company transactions reconciliations, bank reconciliations, inventory reconciliation and preparation of analyses Provide support on accounting operation for payabl... 

Recruit Express

尖沙咀
24 天前
 ...et of accounts including general ledger, accounts receivable, accounts payable, cheque and bank payment, month-end closing and financial reports etc. Handle bank reconciliation between bank accounts Cash and budget management, handle employer’s tax returns & work ... 
尖沙咀
3 天前
 ...ng and binding, etc. ~Handle a wide spectrum of administrative duties, including office management, procurement, translation, reconciliation and processing of monthly statements, petty cash management and reimbursement, inventory control, liaison with internal and ext... 

Energy Fleet (HK) Limited

尖沙咀
4 天前
 ...ent Accounting Team ~ Provid professional accounting and bookkeeping services to clients. ~ Prepare management accounts, bank reconciliations, breakdowns, and specialized reports, such as FRR report. ~ Assist in team management as a Senior. ~ Provide fee quotati... 

JPC TEXSON LTD

尖沙咀
7 天前
 ...ntertainment district, Tsim Sha Tsui, Kowloon. We invite applications for the following position: Responsibilities: Daily reconciliation on receiving reports & F&B purchase invoice. Prepare regular reports (including weekly flash report, daily F&B sales breakdo... 

Marco Polo Hongkong Hotel

尖沙咀
6 天前
 ...tunities up to the age of 65.) Responsibilities: Perform general accounting duties such as data entry, daily checking and reconciliations of revenue, invoice & statement handling and approval checking; Prepare daily revenue reports; Assist in handling accoun... 

YMCA of Hong Kong

尖沙咀
23 天前
 ...penses payment checking, prepare invoice, data entry, & filing Assist manager to perform the month end closing, intercompany reconciliation, accounting schedule and breakdown Liaise with external auditors for audit related matters, prepare year-end audit schedule ... 
尖沙咀
3 天前
 ...ice expenses for Hong Kong office Assist to issue monthly statements to all intercompanies  & assist to handle balance sheet reconciliation Handle  Debit Notes  or Credit Notes to suppliers/customers due to claims & pricing difference Check supporting documents... 
尖沙咀
25 天前
 ...processing related to A/R and A/P Prepare vouchers of Accounting entries related to Sales & Purchase Prepare Intercompany reconciliation file(s) Maintain accounting records timely and accurately Any ad-hoc accounting projects as assigned Requirements ... 
尖沙咀
3 天前
 ...g Manager for month-end closing and audit schedules Manage AP payment and petty cash Conduct intercompany transaction and reconciliation Prepare monthly accruals, vouchers, data input and filing Assist in monthly financial reporting and other management repo... 
尖沙咀
3 天前
 ...ccessful candidate will be responsible for maintaining the data in respect of tenant ledgers and prepare periodical reports for reconciliation and record. Requirements Form 5 or above or equivalent with LCC Intermediate level At least 1 year of relevant working exp... 

Sino Group

尖沙咀
2 月前
 ... Responsible for handling full set of accounts Responsible for handling daily accounting operation including, cheque payment , banking matters Prepare/manage the monthly reports to management team Maintain filing and document Perform ad hoc assignments as ... 

Plotio Financial Group Limited

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3 天前