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- Accountant / Assistant Accountant Honour Rich International Ltd Ball Watch (Asia) Company Limited Wan Chai, Wan Chai District F... ...roup reporting and analysis 4. Working knowledge in handling banking transactions 5. Diligent, resilient and committed 6. Excel...
- ...lity. We are looking for a permanent employee to join our Accounting Team and support the business operation. Responsibilit... ...e payments, inter-company reconciliation, tracing fund receipt, bank reconciliation, fixed assets register, vouchers, etc. Work w...
- ... and coating products and property investment. Job Responsibilities: Review clerical tasks, including daily banks positions, cheque payments, accounting vouchers, bank reconciliations; Assist in managing treasury funds, including planning for time deposits, cons...
- Job Descriptions: Handle the full spectrum of accounting duties, including but not limited to bank and accounts reconciliation, data entry, and preparation of financial reports for management. Assist in the annual statutory audit and tax filing. Issue all ...
- ...ew We are looking for a skilled and detail-oriented Senior Accountant to manage our full set of accounts and support key financial ... ...asting to support business decisions; Liaise with auditors, banks, and regulatory authorities as required; Assist in other fi...
- ...el: 2111 3766 Fax: 3007 1947 Business Analyst ( Personal Banking / Wealth Management) x 5 Key Responsibilities: - Work C... ...uirements: - Degree in Computer Science, Information System, Accounting or Finance - 3 - 6 years IT / Business Analyst experience, p...
- Key Responsibilities Manage full-cycle accounting and reporting File HK Profits Tax and China Corporate Income Tax returns Coo... ...cial Owner registrations Liaise with Hong Kong and Mainland banks for account opening, foreign exchange transactions, and cross-...
- ... phone call answering, courier documents distribution) Handle Accounts Receivable and Accounts Payable (Prepare and input vouchers) ... ...th-end closing activities and management reports. e.g.: perform bank reconciliation Support ad-hoc projects / tasks as assigned. ...
- Responsible for daily accounting duties, A/P, A/R, bank activities, voucher preparation and prepare payments Month-end closing including preparation of monthly schedules Perform general clerical support and maintain good filing system Perform ad-hoc tasks as ...
- Responsibility ~ Handle full set of account including but not limited to AR, AP, bank reconciliation, inter-company reconciliation, cash flow, reporting etc. ~ Assist in the preparation of forecasts and annual budgets ~ Prepare monthly report and financial stat...
- Responsibilities: Review daily journal entries for Account Receivables. Prepare bank reconciliation and quarterly sub-ledger reconciliation. Handle receipt reconciliation & monthly analysis for all payment channels. Liaise with business units on monitoring ...
- ... East and Red Sea, and Africa. Responsibilities: General accounting duties such as payments and receipts processing and journal en... ...g Handle petty cash & expenses claims Assist in handling banking related matters Assist during interim and year end closing....
- ... in preparing monthly analysis reports. · Perform full set of accounts independently, including payable, receivable, accounting entrie... ...Immediately available will be an advantage Benefits: · Bank Holiday · Lunch Provided · Salary negotiable subject to qua...
- Job Responsibilities Prepare full sets of accounts for the holding company and its subsidiaries Prepare monthly reporting packag... ...e weekly and monthly cash flow reports Assist in opening new bank accounts in Hong Kong and PRC Manage bank transactions, incl...
- Responsibilities • Handle daily accounting duties including A/P & A/R, payment checking, vouchers preparation and bank reconciliation • Assist in the month-end closing & financial reporting • Assist in year-end audit and stock taking • Assist in ad hoc task as...
- ...form post-scanning physical document management. Liaise with Accounts Payable teams in the hub to identify documents that need to be ... ... Liaise with Finance team to collect all incoming and outcoming bank documents. Print voucher and match original supporting docum...
- About Standard Chartered We're an international bank, nimble enough to act, big enough for impact. For more than 170 years, we'v... ...Y ~ Review and completes sample check on the work prepared by Account Investigation maker or checker. ~ Review transaction instruct...
- Job Duty Handle the daily accounting operation including AP, AR; Responsible for bank reconciliation and vouchers entries; Maintain general ledger and issue debit & credit note; Assist in month-end closing and updating accounting system Experience in Accounting fi...
- ...g Stock Exchange in the year of 2013. Our client, a leading banking insituition is currently seeking for a high-caliber candidate ... ... operation error rate Documentation follow-up and filing Accounting & GSL entries posting A/C reconcilement & investigation for...
- ...ompany documents; Able to independently handle a full set of accounting operations, including preparing book-keeping records and mainta... ...ccounting duties including month-end closing, reconciliation of bank accounts, etc; Assist in other ad-hoc assignments. Req...