Job purpose: The core purpose of this role is to perform daily accounting duties and ad-hoc tasks as described in key responsibilities as below. He or she will work closely with Assistant Finance Manager / Accounting Supervisor to ensure ...
Responsibilities Perform general accounting Duties, including accounts payable and accounts receivable functions Verify invoices, purchase orders and other relevant documents and ensure their accuracy and reasonableness prior to input in...
Responsibilities: Responsible for month-end closing, intercompany reconciliation, and fixed assets recording and reporting Daily accounting operations, accounts receivable, accounts payable and monthly bank reconciliation Invoice prepar...
Job Description: Responsible for data entry, voucher preparation, accounts receivable and reconciliations Assist in month-end closing activities including bank reconciliations, general ledger maintenance, balance sheet reconciliations, a...
Responsibilities: Responsible for cash collection and company expenses settlement Perform routine finance operations including invoice verification and bank reconciliation; no double-entry bookkeeping duties required Initiate the proc...
Diploma or above education with accounting knowledge 1-5 years relevant experience prefer in Hotel Industry Responsible for general accounting duties; handle bank reconciliation, accounts receivable, general ledger and assist month end cl...
HKDSE or above with LCCI higher qualification 1 year's relevant experience is preferred Proficiency in MS Office Self-initiated, well-organized, responsible, detail-minded and hardworking Able to meet tight deadline Fresh graduate will...
Job Duties: Handle daily accounting duties including accounts payable, accounts receivable and reconciliations Assists to prepare book-keeping entries Assist in month end closing and preparing accounts analysis and reports Assist in ad...
Responsibilities: Responsible for suppliers’ invoice input and reconciliation of suppliers’ monthly statements Match completeness and accuracy of purchase requisition against suppliers’ invoice Prepare payment vouchers and issue chequ...
Responsibilities: Prepare of payment, receipt and journal vouchers Handle banking administrative tasks, prepare bank reconciliations Prepare schedules and breakdown of financial information Issue donation receipt and related matters H...
Requirement: Diploma or Degree in Accounting or Finance or related disciplines At least 1 years accounting or finance or audit experience Good command of written and spoken English and Chinese Proficient in MS Office including Word & E...
Responsible for accounting functions (AR, AP, bank rec, etc.) Responsible for recording construction income to Accouting system Assist in helping HR matters and payroll General duties of Administrative Assistant, handling telephone calls...
Job Responsibilities Provide administrative support, including handling stationery and office supplies ordering etc. Cover and backup receptionist and/or office assistant, office cleaning and environment management when absence Assist...
A non-profit making and inter-denominational Christian organization is now looking for high-caliber candidate who would align with our Mission: “Through a ministry of holistic care, we strive to share the Gospel and develop a Christian comm...
ROLES & RESPONSIBILITIES:- Handle full set of accounting duties (AR, AP, issue cheques and bank reconciliation) Handle daily accounting matters including data entry, voucher entries Assists in month-end closing Prepare schedule of a...
Company Description Hong Kong - Shenzhen - Guangzhou - Shanghai - Beijing JPC Texson Ltd, established since 1990, is a Hong Kong and China licensed Employment Consulting firm, specializing in Headhunting and Recruiting Services for comp...
Harbour Plaza Resort City is a mega-hotel with 1,102 guest rooms & suites beside the tranquil 2 million sq.ft. Tin Shui Wai Central Park and adjoining the exciting 600,000 sq.ft. +WOO shopping centre. We invite the following outgoing and pr...
Responsibilities Responsible for month-end closing, intercompany reconciliation, and fixed assets recording and reporting Daily accounting operations, accounts receivable, accounts payable and monthly bank reconciliation Invoice prepari...