Job DescriptionMaintain Cost Centres, Assets Registers, General Ledger. Filling and organization of accounting recordsPrepare monthly management reports and group submissions;Perform timely month-end closing and year-end audit with tight deadlines;Process intercompany transactions and period end reconciliation;Prepare monthly bank reconciliation for settlement and operating bank accounts;Review expenses claims and reimbursement; andProvide ad hoc reports and reconciliations for matters where requested.
RequirementsHigher Diploma or University graduated in Accounting/ Finance equivalent disciplinesAt least 3 years of experiences in accounting, preferably in General Ledger or Reporting in trading industry;Well-organized, independent, detail-minded, with self-initiative and able to work under pressure;Good analytical mind, flexible and with strong team-spirit;Good interpersonal and communication skills;Good command of written and spoken English and Chinese;Proficient in MS Office and preferably with hands-on knowledge with SAP; andImmediately available will be an advantage but not a must
Other benefit: Medical + Dental insurance scheme; Annual Leave, Bank Holiday, Marriage leave, staff purchase discount, transportation allowance, communication allowance, Discretionary Bonus etc.
Interested parties, please apply with full resume, present and expected salary, send email to [email protected]