工作职责:
1、负责公司现金、票据及银行存款的保管、出纳和记录;
2、负责记录和管理现金日记账、银行存款日记账、统计;
3、做好各种账务的处理工作:包括录入凭证及审计工作;
4、负责公司工商及行政事务
5、协助总部财务处理工作
岗位要求:
1、本科以上学历,会计、财务及经济管理类相关专业;
2、熟练使用Word、Excel、PPT等office办公软件;
3、有出纳工作经验,掌握财务会计的基础知识,熟悉出纳工作流程,熟悉现金及银行业务的实际操作;
4、工作认真细心、责任心强、为人正直、敢于坚持原则;
5、熟悉国家财务政策、会计法规,了解税务法规和相关税收政策;
6、具有5年以上相关工作经历;
7、专业证书:会计从业资格证书。
8、英语读写、简单口语沟通
Responsibilities:
- Responsible for all Cashier function;
- Liaison with local authorities (e.g. tax bureau, etc.)
- Monthly tax filing;
- Actively involved in set up of new accounting books;
- Deal with audit;
- Support office administration;
- Assist headquarter with financial business.
Requirements:
- Bachelor degree or above, accounting or relevant major preferred;
- At least 1 year related experience, include cashier, accounting, financial procedure, banking business, etc;
- Accounting quelification certificate needed;
- Familiar with Microsoft office software;
- Familiar with Naitional financial and tax law and policy;
- Good English communication ability, both in oral and writing.
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