Responsibilities:
- Handle full set of accounts for listed companies
- Arrange bank loan drawn down and repayment
- Arrange bank transfer and payment instructions and in-charge of petty cash control
- Handle intercompany recharges
- Perform bank reconciliation, account receivables and account payable
- Coordinate with local account teams of business units
- Maintain the data in accounting system are up-to-date and accurate
- Prepare monthly, interim and annual financial reports
- Prepare tax computation and other tax correspondence
- Handle ad-hoc assignments as required
Requirements:
- Diploma in Accounting or above
- 3 years’ relevant experience in accounting or bookkeeping in listed companies
- Proficient in MS Office applications; familiar with Flex account is an advantage
- Experienced in consolidation of small-sized group structure is a plus
- Good command of both written and spoken English and Chinese
- Self-motivated, detailed-minded and hardworking, with a strong sense of responsibilities and being a good team player.
We offer attractive package and good career development for right candidate.
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