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Review and process daily expense reimbursements and perform related accounting entries.
Manage daily cash and check receipts and payments promptly record cash and bank deposit journals.
Conduct regular bank reconciliations and prepare bank reconciliation statements.
Reconcile cash and bank journal transactions and balances at the end of each month.
Prepare weekly and monthly fund-related financial reports.
Safeguard company cash, online banking U-shield, payment password devices, and daily fund reports.
Transfer original vouchers for fund transactions and complete related financial system operations.
Handle tax declarations, reviews, and system operations for GST and other applicable taxes.
Bachelor's degree or above in Accounting, Financial Management, or related fields.
At least 3 years of experience in financial accounting and tax processing.
Proficient in listening, speaking, reading, and writing in both Chinese and English.
Detail-oriented, responsible, and patient, with strong stress tolerance experience in Chinese-funded enterprises is preferred.
Job ID: 143871641