Search Results: 16 职位空缺
...working environment to our working peers.
website:
Description:
-Manage daily financial transactions, including accounts payable/receivable, general ledger, and bank reconciliations.
-Handle month-end and year-end closing processes efficiently.
-Ensure accu...
HKD 16k - HKD 18k /月
...payables
Prepare cheque payments
Assist daily accounting transactions, journals, month-end closing & analysis
Perform daily book-... ...neral ledger
Participate in inventory stock take
Prepare bank reconciliation & PO creation
Other ad-hoc duties assigned b...
...ters; and completed investment sales, acquisitions and finance transactions of approximately $170 billion. At the end of 2017, JLL had nea... ...pare the financial reporting schedules, financial analysis and bank reconciliation statements on monthly basis
Liaise with inte...
...ew and perform analytical review of 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 an...
...s;
Responsible for petty cash & expenses claims and payment transaction
Responsible for preparing aging reports of accounts receiva... ... accounts payables
Handle sales receipts reconciliation and bank reconciliation
Assist in fixed assets register and prepare ...
...t handling, debit note issuance, etc.
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 polic...
Responsibilities
Responsible for handle full set of Import & Export document, L/C, D/A, D/P and Bank documents, filing, Trade transaction.
Coordinate with overseas office (India/Vietnam/Bangladesh) for documentation.
Data input and general clerical suppor...
...imbursement, and record keeping, filing etc.
Prepare daily cash/bank positions and handle bank documents
Arrange cheque payment/remittance/bank loan application
Handle intercompany transactions and transfer
Handle other and ad hoc projects as assigned
Re...
HKD 20k - HKD 25k /月
...ficient in MS Office (Word/Excel/PowerPoint/Outlook)
-Immediately available or short-term notice is preferred
We offer:
-Bank Holiday
-Birthday leave
-Medical benefits
-Dental benefits
-Education perquisites
-Performance bonus
-Staff purchase dis...
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...
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...
...ents are supported and approved in compliance with internal policies
Responsible for petty cash & expenses claims and payment transaction
Handle Ad hoc assignment as required
Provide support and coordinate with the operations team across the overseas office
...
...Requirements
DSE / Form 5 or above
At least 2-3 years working experience
Good knowledge of L/C, CO’s (Form-A,E,F) and Banking document, TradeLink System
Preferably with knowledge and experience in China custom regulations
Fluent in English, Mandarin ...
... and manage financial 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 experie...
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...
...
Perform 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...