Search Results: 15 vacancies

Responsibilities Handle month-end closing Prepare monthly management reports Handle intercompany reconciliation Liaise with various operation teams and external auditors Handle ad hoc projects Requirements DSE / Form 5 or above Minimum 3... 
Tin Hau
12 hours ago
 ...orts for the management team and UK office ~Liaise with the Chinese Mainland offices to coordinate the accounting treatment of intercompany transactions ~Review A/P journals, payments and staff claims ~Monthly review of balance sheet accounts and take follow-up ac... 

Knight Frank Petty Limited

Wan Chai
16 days ago

HKD 40k - HKD 50k per month

 ...e team in e-banking systems support and system implementation if needed Prepare and manage cash pooling strategies and manage intercompany loans. Liaise with internal and external auditors on treasury issues. Your Profile ~ Degree holder in Finance, Accoun... 

Robert Half

Central and Western
6 days ago
 ...nthly financial statements Assist the daily AR and AP operation process to ensure the completeness and accuracy Handle the intercompany billing and the intercompany reconciliation Prepare the weekly and monthly financial analysis with the explanations Prepar... 
Admiralty
3 days ago
 ... The Role Responsibilities Handle daily treasury operations including bank loan drawdown and repayment, capital injection, intercompany loans and e-banking etc Handle banks' KYC and on-going loan compliance Assist supervisors in bank loans negotiation and lo... 

Robert Half Hong Kong

Central and Western
2 days ago
 ... in global projects with a focus on the APAC region, particularly in process and system design. Expertise in managing complex intercompany flow, SAP flexible Workflow, and import and export processes. Proficiency in conducting Procurement Analysis, including analy... 

JFE Consulting Limited

Central
17 days ago
 ...ocus on the APAC region, including process and system design. Proficiency in COA (Chart of Accounts) design, handling complex intercompany transactions, and allocation. Familiarity with consolidation reporting and related processes. Previous experience in the f... 

JFE Consulting Limited

Central
17 days ago
 ...epare and generate essential financial reports. To perform AP, AR, Payment, Journal entities, Month-end closing, Reconciliation, Intercompany reporting, etc. Perform financial analyses: calculating variances from the budget and reporting significant issues to managem... 

Rober Walters Hong Kong

Hong Kong Island
3 days ago
 ... reconciliations, including current and savings accounts, loan accounts, fixed deposits, and pledged deposit accounts. Manage intercompany transactions and reconciliations. Handle tax provisions for Hong Kong and overseas entities. Reconcile balance sheet items... 

ConnectedGroup Limited

Sheung Wan
1 day ago
 ...ctive communication and problem-solving. Collaborated with the Group finance team to address inquiries or disputes related to intercompany recharges. Contributed to the Group IT cost reporting process, ensuring compliance with reporting standards and timely submis... 

Michael Page

Central
17 days ago
 ...ces review and payments approval. Assisting in monthly closing process including review or preparation of month end journals, intercompany reconciliations, and monthly management accounts. Assisting with year-end reporting. Ad-hoc financial analysis, financial ... 

Collinson

Quarry Bay
3 days ago

HKD 28k - HKD 35k per month

 ...ensure compliance. Perform month-end and year-end closing activities accurately and on time. Reconcile bank statements and intercompany transactions. Preparing financial statements and produce budget/forecast according to schedule Provide support in ad-hoc f... 

Robert Half

Eastern
1 a month ago
 ...delivery of results accordingly • Managing additional statutory accounting of Hong Kong entity. Activities include accounting, intercompany charging and settlement among companies within the group, monthly closing, yearly closing, handling external auditor in yearly f... 

Classy Wheeler Limited

Hong Kong Island
2 days ago

HKD 40k - HKD 50k

 ... Prepare reconciliations for the balance sheet and take necessary steps to resolve any outstanding matters. Review monthly intercompany billings and ensure they are reconciled correctly. Monitor the performance and accuracy of the outsourced accounting vendor, ... 

Robert Half

Central and Western
1 a month ago

HKD 25k - HKD 32k per month

 ...al finance team. The Role Prepare quarterly NAV report and support trade settlement. Assist in SPV accounting and intercompany transactions reconciliation. Assist in cash and investment position reconciliation. Handle ad-hoc reporting if needed. ... 

Robert Half

Central and Western
1 a month ago