Search Results: 34 vacancies
HSBC is one of the world's largest banking and financial services organisations. Our global businesses serve more than 40 million cust... ... service through accurate and efficient counter transactions at branch
Meet the financial services needs of customers by identifyin...
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...
... companies. CHEC has been developing and operating the oversea business on behalf of CCCC. Currently, CHEC has more than 90 oversea branch offices or subsidiaries serving clients in over 100 countries around the world. Today, our 15,000 plus employees are undertaking 30...
HKD 17k - HKD 25k per month
...Hong Kong. With continuous enthusiasm, commitment and ambition for improvement, we expanded our business to China and established a branch, AsiaPac Net Technology (Shenzhen) Limited, in Shenzhen in 1999, in Shanghai in 2009 and in Chongqing in 2013 to better serve the c...
...level.
Prepare Daily Fund report and submit to management review
Liaise with external parties like external auditor, landlord, bank, etc.
Perform other duties & ad hoc assignments as necessary and/or assigned
REQUIREMENTS
Higher Diploma or Associate Degre...
...s section as per standard operation procedure
To maintain effective communication with customer and overseas agent (mainly group branch in Japan)
To enter data & prepare documentation for courier, air export / import shipment
Requirements
DSE / Form 5 or ...
...e an advantage;
~ Good command of both spoken and written English and Chinese.
Working Location: Lai Chi Kok
Benefits
Bank Holidays
Annual Leave: 12 working days per year
Group medical scheme with dental benefits
Discretionary bonus
We offer e...
...y
Manage the Group consolidation process and month end close activities to ensure timely submission of business results
Manage bank relationships, ensuring smooth and clear communication to maintain strong historical relationship
Provide strategic direction on ...
...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 ...
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 support...
...ncluding 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 Requireme...
...view 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 and actual variance analysis
...
...s
Able to handle full set of Garment-Export shipping document independently
Experience on handle L/C negotiation documents for bank presentation
Monitor shipment reports and Ad hoc reports
Requirements
~ DSE / Form 5 graduate or above
~6 years or abo...
HKD 22k - HKD 26k per month
...chandising, Retailing, Managerial, Secretarial, Accounting, Purchasing, Design, Stock Keeping, Shipping, Clerical, Administration, Banking & Finance, Sales & Marketing, Logistic, Information Technology, Quality Control, Customer Service, Training & Development.
- LCC...
...
Responsible for preparing aging reports of accounts receivables and accounts payables
Handle sales receipts reconciliation and bank reconciliation
Assist in fixed assets register and prepare the fixed assets and depreciation schedules and journal voucher
Pro...
... function, 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 reconciliati...
...nce, 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 policy
Responsible for various ...
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...
...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 ...
...le 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...