Job Responsibilities 工作职责: 1、 Check original documents and reimbursements (审核原始凭证及费用报销凭证) 2、 Responsible for GL/ cost /Inventory/Tax daily bookkeeping(总账凭证/成本/存货/税务记账) 3、 Prepare monthly AR/AP statement to reconcile with customers& suppliers(每月与供应商和客户对账) 4、 Credit limit review and credit control(信用控制) 5、 Intercompany reconciliation (关联交易对账) 6、 Complete related monthly closing reporting(准时完成每月关账) 7、 Prepare related monthly financial report on time(及时准备每月财务报表) 8、 Ensure tax declaration timely and correctly(保证税务申报的及时性及准确性) 9、 Organize quarterly stocktaking to ensure data correction(组织季度盘点,保证数据正确性) 10、 Manage fix assets, monitor changes and control (固定资产管理、监控) 11、 Support yearly internal& external audit(支持内外部审计) 12、 Other work as assigned by Manager(经理安排的其他工作)
Job Requirement 岗位要求: 1、 Bachelor’s degree in accounting or relevant major (会计及相关专业毕业,本科以上学历) 2、 Above 3-5 year working experience in accounting (3-5年以上会计经验) 3、 Familiar with ERP system(熟悉ERP系统) 4、 Good English in listening/writing/ speaking(英语听/说/写熟练) 5、 Good communication skills (with team ,customers and suppliers)(良好的沟通能力)