1. Responsible for daily payments & reimbursement through E-banking 2. Responsible for monthly/quarterly/yearly closing and meet the deadline 3. Validate required documents by bank for checks, bank guarantee, FX payments, dividend and etc. 4. Monitor cash-pool daily basis and prepare account statement for different subsidiaries 5. Prepare for monthly bank reconciliation and perform monthly petty cash count 6. Prepare for monthly cash forecast 7. Prepare for account analysis of job related account. 8. Liaison with the bank, SAFE for all banking related issue 9. Bank account management, maintain and update signatories and bank specimen 10. Coordinate and dealing with internal & external audits 11. Participation of projects on financial system, process improvement and optimization 12. Ad hoc tasks / projects assigned by reported manager
What you know:
Competencies/ Profile: Problem solving minded, dynamic, self-motivated and strong interpersonal skills.
Qualifications & experience:
1. College education or above in Accounting or related. 2. 3+ years working experience in Accounting Dept., experience in working with multinational company will be preferred. 3. Good command of spoken & written English. 4. Proficiency with E-banking, ERP system and MS Office suite 5. Well knowledge in Import/Export processes & SAFE regulations 6. Good team player with positive outlook and can work under pressure