職位目標(biāo) Position Target:
Cash reimbursement Bank AR Foreign exchange management
工作內(nèi)容 Job Content:
Banking
1.Keep updated with latest taxation laws and regulations to ensure the compliance.
2.Responsible for daily banking business.
3.Key in relative accounting documents on a timely basis.
4.Draft necessary SOP of key work flow and keep updated.
5.Prepare specific reports if necessary
Cash reimbursement
1.Cash withdrawals, provide and management.
2.Cash register journal.
Account Receivable management
1.Sales confirm and regular reconcile with customers and invoicing
2.Key in relative accounting documents in SAP on a timely basis.
3.Communicate with customer and collect overdue payment from customer.
4.Bank receivable confirm and booking in SAP.
5.Responsible for the continuous improvement of SAP AR module.
6.Monthly AR aging report and overdue analysis.
7.Other sales report prepare.
Foreign exchange management
1.Foreign exchange receipts and payment check and management
2.Management relative documents.
Others
1.Support internal or external audit.
2.Support to tax issues like import and sales tax check.
3.Support to intercompany AP AR business.
4.Various continuous improvement suggestions and implementations.
5.Cooperate with other team member to improve work efficiency and team performance.
6.Other issues not included above and tasks assigned by superior.
任職資格 Qualification:
教育背景 Education Background:
◆College degree in accounting
培訓(xùn)經(jīng)歷 Training Experience:
◆Annual continuous accounting education
經(jīng) 驗 Work Experience:
◆more than 1 year related experience.
技能技巧 Skills&Competence:
◆Very familiar with MS-office software and proficient in Excel.
◆Experience of ERP,SAP experience is a plus.
◆Proficient in oral and written English.
態(tài) 度 Attitude:
◆ Aggressive and strong sense of responsibility, ability to work independent and self-manage.
◆ Creative and willing to learn
◆ Good communication skills
◆ Passion on work and good team player.
Cash reimbursement Bank AR Foreign exchange management
工作內(nèi)容 Job Content:
Banking
1.Keep updated with latest taxation laws and regulations to ensure the compliance.
2.Responsible for daily banking business.
3.Key in relative accounting documents on a timely basis.
4.Draft necessary SOP of key work flow and keep updated.
5.Prepare specific reports if necessary
Cash reimbursement
1.Cash withdrawals, provide and management.
2.Cash register journal.
Account Receivable management
1.Sales confirm and regular reconcile with customers and invoicing
2.Key in relative accounting documents in SAP on a timely basis.
3.Communicate with customer and collect overdue payment from customer.
4.Bank receivable confirm and booking in SAP.
5.Responsible for the continuous improvement of SAP AR module.
6.Monthly AR aging report and overdue analysis.
7.Other sales report prepare.
Foreign exchange management
1.Foreign exchange receipts and payment check and management
2.Management relative documents.
Others
1.Support internal or external audit.
2.Support to tax issues like import and sales tax check.
3.Support to intercompany AP AR business.
4.Various continuous improvement suggestions and implementations.
5.Cooperate with other team member to improve work efficiency and team performance.
6.Other issues not included above and tasks assigned by superior.
任職資格 Qualification:
教育背景 Education Background:
◆College degree in accounting
培訓(xùn)經(jīng)歷 Training Experience:
◆Annual continuous accounting education
經(jīng) 驗 Work Experience:
◆more than 1 year related experience.
技能技巧 Skills&Competence:
◆Very familiar with MS-office software and proficient in Excel.
◆Experience of ERP,SAP experience is a plus.
◆Proficient in oral and written English.
態(tài) 度 Attitude:
◆ Aggressive and strong sense of responsibility, ability to work independent and self-manage.
◆ Creative and willing to learn
◆ Good communication skills
◆ Passion on work and good team player.
職位類別: 會計經(jīng)理/會計主管/會計助理
舉報
- 所在地區(qū):江蘇-蘇州市
- 聯(lián)系人:HR
- 手機(jī):會員登錄后才可查看
- 郵箱:會員登錄后才可查看
- 郵政編碼:
工作地址
- 地址:蘇州工業(yè)園區(qū)






