Search Results: 37 职位空缺
...y is preferred.
We offer competitive remuneration package with a wide range of fringe benefits including: -
~5-day work week and bank holidays
~ Annual leave 12 days+
~ Birthday leave
~ Education allowance
~ Medical allowance
~ Performance Bonus
~ Staff S...
...基本月薪的13%
~ 醫療及人壽保險,保障您本人、配偶及子女
~ 員工物業按揭貸款,貸款額可達物業估價或售價100%
~ 各種銀行服務及產品的員工優惠,包括貸款、信貸、信用卡
~ 理想晉升機會
Wealth and Personal Banking is our new global business combining Retail Banking and Wealth Management; and Global Private Banking, to become one of the world'...
Fubon Bank, an identity that reflects the commitment of providing customers with Value Banking Service - "Get More than You Expect", is also a leading distributor of investment solutions and services, supported by a broad range of products, as well as a talented and d...
...ou in an exciting new direction, HSBC offers opportunities, support and rewards that will take you further.
Wealth and Personal Banking (WPB) helps deliver on HSBC's purpose of opening up a world of opportunity by providing our customers with borderless banking and ...
...opriate accounts are reconciled on monthly basis and that the reconciliations are at the appropriate level of detail and tie to the financi... ...Liaise with external parties like external auditor, landlord, bank, etc.
Perform other duties & ad hoc assignments as necessa...
...the HK accounts independently and month end process
Handle daily transactions on payments and receipts and preparation of bank reconciliation
Responsible for various analytical and review of management reports between budget and actual variance analysis
Handle...
... accounts receivables/payables, cheque payments, accounting vouchers and data input
Prepare accounting journal record and bank reconciliation
Perform ad hoc duties as assigned
Requirements
~ Diploma, DSE or equivalent
~ LCC higher or above Requirements
~...
...able duties including invoice verification, supplier statement reconciliation, voucher inputs, journal posting, arranging payment by cheques... ... accounts payables
Handle sales receipts reconciliation and bank reconciliation
Assist in fixed assets register and prepare ...
...n, including reviewing invoice and payment transactions
Handle reimbursement of staff claims
Prepare monthly journals, bank reconciliations and expense schedules
Verify the fixed assets transactions
Participate in inter-companies account reconciliations, bud...
HKD 19k - HKD 23k /月
...
[ Accounting ]
- Responsible for daily accounting operation
- Assist in month-end closing including AR/AP
- Handle bank reconciliations and accounting schedules
- Bookkeeping
- Preparing financial report & report to Japan HQ (by Excel and system)
[ Admin...
....
Responsible to issue debit note or credit note
Handle daily transactions on payments and receipts and preparation of bank reconciliation
Review of travel claim reimbursement and ensure they are comply with the travel policy
Responsible for various analyti...
HKD 18k - HKD 30k /月
...e, account receivables, payment preparation, handling of petty cash, monitoring of cash collection from customers
Prepare bank reconciliation reports and inter-company reconciliation
Assist in month-end closing including preparation of monthly schedules
Superv...
...ancial policies and procedures to ensure adequate internal control
Day to day book keeping, AR and AP handling and Bank Settlement and Reconciliation
Quarterly and Yearly Audit
Requirement
~ DSE / Form 5 or above
~5+ years of work experience in commerci...
Responsibilities
Handle and prepare full sets of accounts, including accounts payable/receivable, general ledger and bank reconciliations
Prepare financial statements and supporting schedules on time
Handles other day-to-day finance and accounting of the c...
...orm general accounting duties in accounts payable, journal entries etc
Assist in performing payments, cheque issuing, and bank reconciliation
Support vouchers payment, month end closing, update accounting schedules
Assist in office administrative duties
Oth...
...he HK accounts independently and month end process
~ Handle daily transactions on payments and receipts and preparation of bank reconciliation
~ Perform analysis and review of management reports between budget and actual variance analysis
~ Handle ad hoc assignme...
... for external stakeholders
Supervise and coordinate work flow of Accounting subordinates on regular journal entries, monthly reconciliation and all taxation related matters
Support project implementation of financial system set up
Requirements
Diploma / ...
Responsibilities
Perform accounts payable duties including invoice verification, supplier statement reconciliation, voucher inputs, journal posting, arranging payment by cheques or T/T, and filing
Ensure payments are supported and approved in compliance with ...
...s, including filing, data input, photocopying, preparing reports etc.
Outdoor duties, including document collection and delivery, bank payments etc.
Handle inquiries internally and externally
Assist manager in month-end closing and other accounting matters
R...
...tion skills;
Good command in spoken & written English and Chinese;
Working location:
~ Lai Chi Kok Office
Benefits
Bank Holidays
Annual Leave: 12 working days a year
Group medical scheme with dental benefits
Discretionary bonus
We offer ...