职位详情
语言要求: 中文/精通
职位描述
Your duties and responsibilities (include but are not limited to) are as follows:
Financial Data Entry: Accurately record daily financial transactions into our accounting software and spreadsheets.
Accounts Payable Support: Assist with processing vendor invoices, preparing payment vouchers, and reconciling supplier statements.
Accounts Receivable Support: Help process customer receipts, reconcile customer accounts, and assist with monitoring outstanding balances.
Bank & Cash Reconciliation: Assist in performing daily bank reconciliations and managing petty cash records.
Documentation & Filing: Maintain organized and up-to-date financial records, documents, and files, both physical and electronic.
General Ledger Assistance: Support the finance team with basic General Ledger entries and classifications.
Reporting Support: Assist in compiling data and preparing basic financial reports as needed.
Liaison Support: Provide assistance in communicating with external parties like suppliers regarding invoices and statements.
Ad-Hoc Tasks: Perform any other relevant administrative or accounting-related tasks as assigned by the Management.
Requirements:
Prior experience in an administrative role with exposure to accounting tasks, or a relevant qualification (e.g., LCCI, Diploma in Accounting).
Strong attention to detail and a high degree of accuracy in data entry and record-keeping.
Proficiency in Microsoft Excel and familiarity with accounting software (experience with Autocount Accounting Software is a plus).
Excellent organizational and time management skills.
Mandarin fluency is an added advantage.