Search Results: 833 vacancies
Operation Manager / Senior Operation Manager (Cheque Clearing)
Apply Now Job No.: 494328
Employment Type: Full time
Departments: Bank-wide Operation Department
Job Functions: Bank Operations
Responsibilities
Supervise Clearing of Cheque pro...
...ng a high calibre professional to join our team as an Officer, Cheque Processing Services .
Principal Responsibilities
E... ...th our Privacy Statement, which is available on our website.
Issued by The Hongkong and Shanghai Banking Corporation Limited.
Operation Manager (Cheque Clearing)
Apply Now Job No.: 499165
Employment Type: Full time
Departments: Bank-wide Operation Department
Job Functions: Bank Operations, Customer Services
Responsibilities
Supervise Clearing of Cheque process to ...
...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...
... 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...
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...
... money settlement of retail payments in Hong Kong such as paper cheques, autocredits, credit card payments, etc.; and
- the HKMA’s CM... ...ment plan;
- Assist member banks in solving daily operational issues relating to bulk clearing services, Faster Payment System (FPS)...
HKD 15k - HKD 25k per month
... Accounts Payable and Receivable function including data input, cheque payments, prepare vouchers, monitor cash flow, bank reconciliat... ..., month end checking, inter-co current accounts reconciliation, Issue debit notes and credit notes, etc.
Handling bookkeeping for ...
...nd AP vouchers
Prepare management fee debit note, receipts
Perform daily accounting operations including preparing vouchers, cheques and payment transactions
Provide clerical support
Perform other ad hoc duties when required
Requirements:
~ F5 or LCC i...
...in inward remittance operations, such as insufficient remitter information, incorrect beneficiary names, cable fate the collection cheques, AML inquiries, etc., and handle account memos received from FMD
File unqualified transactions in sequential order.
Arrange ...
...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 ...
... 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...
...their team with job duties and requirements as below shown :
Duties:
Accounts payable and general accounting duties, eg. issuing cheques, invoices, receipts, MPF Calculation, e-banking etc
Carry out admin and clerical duties, eg, data entry, filing, and email ...
...
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...
...
Maintain and retain donor relationship through emails and phone calls
Handle all types of donation processing including cash, cheque and credit card transactions
Assist in administrative or reporting support when required
Assist in our regular donor engageme...
...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...
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...
HKD 20k - HKD 30k per month
...They have operations in over 190 countries and they provide attractive benefits.
工作内容
Perform accounts payable duties such as cheque preparation, perform payments, prepare vouchers, and journal entries
Assist in month-end closing, prepare accounting schedules a...
...orth Asia Operations & Payment Team
Daily processing of cash/cheque payment and remittance that called for liaison with internal/ex... ...ernal counterparts across the region
Resolve any transaction issues on a timely basis and ensure fulfilment of regulatory requireme...
...iders
Conduct legal research in relations to Hong Kong and overseas legal policies independently.
Respond to queries on legal issues.
Job Requirements
Degree or above in legal studies or equivalent discipline.
Minimum 3-5 years relevant working experience...