岗位职责: (本职位可接受24/25届应届生,应届生薪资面谈) 1. Treasury management including petty cash in bank day to day watch. 2. Staff expense claim/payment to support operation according to company financial policy. 3. Timely execute outgoing payment clearance to make sure SAFE regulation is obeyed. 4. Bookkeeping and cash / bank account reconciliation. 5. Financial document filing and keeping. 6. Support in sales invoice generation. 1.财务管理,包括银行日常值班的零用现金。 2.根据公司财务政策,报销/支付员工费用以支持运营。 3.及时执行对外支付清算,确保遵守国家外汇管理局的规定。 4.记账和现金/银行账户对账。 5.财务文件的归档和保管。
任职要求: 1. University, Bacherlors degree in Business Administration (Finance, etc) 2. 1 years’ experience in finance and accounting area 3. SAP experience is prefer 4. Good communication & team spirits, carefully, work under pressure, and with intense sense of responsibility 5. Workable English 6. Mastery in Microsoft excel 1.大学,工商管理学士学位(金融等) 2.1年财务会计工作经验 3.有SAP经验者优先 4.良好的沟通能力和团队合作精神,工作认真,能在压力下工作,有强烈的责任感 5.英语熟练 6.精通excel