Search Results: 379 职位空缺

 ...ng reconciliation for shop daily sales and accounts receivable Handling daily accounting duties including voucher preparing, cheque issuing, refund to customer, bank reconciliation and documents filing Perform assigned ad-hoc duties and supporting tasks Require... 

Cafe Deco Group

南區
21 天前
 ... Visitors) and kindly request them to register upon arrival. Issue visitors and MCV badges upon their arrival and ensure proper id...  ...he meeting room setup. Contact clients/agents upon receiving cheques and present the cheques to clients upon their arrival (specific... 

Sodexo (Hong Kong) Limited

銅鑼灣
6 天前
 ...que is also referred to as the'haute couture' of crystal.   Job Description: Responsible for Accounts payable duties by Issuing cheques & telegraphic transfer, preparation of AP/ AR vouchers, journals and support day-to-day什nance & accounting operations Bank ... 

Flex Consultancy Limited

銅鑼灣
29 天前
 ...d daily collections; # To arrange and dispatch receipts to service units upon request;  # To issue receipts and receipt summary; # To distribute and/ or mail out cheques to service units and suppliers; # To issue payment advices to suppliers; # To maintain fili... 

新生精神康復會

深水埗
13 天前
 ...ed: To process payments, prepare payment vouchers and dispatch cheques to ensure that transactions are in accordance with the financia...  ...nts and final settlements of overseas duty travel expenses; To issue debit notes for billing requests; To handle daily collection, ... 

Hong Kong Sports Institute Limited (HKSI)

沙田
2 月前
 ... for daily accounting operations including but not limited to, maintain up-to-date data in accounting system, prepare vouchers, issue cheques and filing; ~Assist in performing month end and year end accounts closing; ~Assist in performing internal control task such... 

Christian Family Service Centre基督教家庭服務中心

觀塘
25 天前
Responsibilities Assist in performing daily Accounts Payable functions, including prepare vouchers, payment summary, issuing cheque and remittance Handle full sets of accounts including preparation of management reports and accounting schedules Attend docu... 
銅鑼灣
15 個小時
 ... Provide professional and efficient counter services, including physical stock deposit and withdrawal services, payment request, cheque deposit, personal data updates, and customer enquiries, etc..  Perform checking on internal vouchers and accounting entries Pa... 

China Everbright Securities International Company Limited

灣仔
18 天前
 ...t opening documents, follow up pending documents and perform system input Handle daily transactions including payment, deposits, cheque clearing and journal entries etc. Provide high quality customer services in a professional manner, handle internal and external ... 

Cathay United Bank

銅鑼灣
13 天前
 ... Provide E2E payment service to agency/customer with strong customer mindset Handle premium collection (including cash, card and cheque payment, direct bank in) Perform verification and AML review (such as large payment transactions) Communicate and follow up wit... 

AXA Hong Kong

銅鑼灣
24 天前
Responsibilities Handle daily account operations (preparing invoices, voucher, cheque, filing…) Handle full set of accounts(AR/AP and bank reconciliation…) independently Prepare monthly report and required reports Responsible for providing administrative... 
灣仔
1 天前
 ...e Liaise with overseas consultants and representatives for accounts preparation for newly established Cruise Business Prepare cheque and T/T payment for expenses Prepare monthly financial statements and review the financial statements from overseas Group compan... 

HKR International Limited (HKRI)

荃灣
6 天前
 ...m the GL functions ~ Perform month-end closing and prepare financial statements and management reports ~ Daily deposit the cheque and Issue cheque per request ~ Prepare financial statements and management reports ~ Prepare balance sheet schedules and follow up o... 

JPC TEXSON LTD

觀塘
24 天前

HKD 20k - HKD 25k /月

 ...ing Officer (5 day/ Double pay/TST) Job Descriptions: Handling gerneral account duties, AP/AR/month-end reporting. Prepare cheques, payment vouchers, and bank reconciliation, etc. Handle data entry and documents filing. Handle annual audit and taxation ma... 

PERSOLKELLY Hong Kong Limited

九龍城
6 天前
 ...ounting Assistant   RESPONSIBILITIES ~Handle full-set accounting duties including AP/AR; ~Assist in the preparation of voucher, cheque payment, petty cash and expenses reimbursement; ~Provide daily operation for Accounting Department, i.e.assist to prepare financia... 

Delken Group Limited

灣仔
28 天前
Responsibilities:  Handle all accounting work, including voucher & cheque preparation and documentation, monthly closing, accounting entries, bank reconciliation etc;  Monitor the daily funding, liquid capital position and cash flow;  Monitor daily client... 

FFG 金融集團

中西區
1 月前
Responsibilities Handle outgoing payments including cheque, bank transfer and e-banking payments Prepare daily bank balances reports Assist to prepare various forms for bank accounts Assist to prepare bank related documentation Perform ad-hoc dutie... 
荃灣
1 天前
 ...ing vacancy: Senior Account Clerk RESPONSIBILITIES ~Responsible for full set accounting; ~Responsible monthly payroll (prepare cheque, handle bank transfer transaction, etc.); ~Monitor the cash flows and arrange transfer of funds; ~Handling expense claims, petty ... 

Delken Group Limited

觀塘
2 月前
 ...layer and willing to learn.  • Immediate available preferred  Responsibilities: • Support Accounts team for updating report, cheque handling and filing work and clerical duties If you are interested, please send your resume to ****@*****.*** or Whatsa... 

Paul Y. Engineering Group

觀塘
2 月前
 ...vice arrangement, and meeting rooms booking; Perform offsite duties such as mailing, documents/ parcel delivery and delivery and cheque bank-in etc., when necessary; Provide day-to-day administrative support to the PMSA Executive Office, including but not limited ... 

Property Management Services Authority

灣仔
24 天前