Team or Part | Financial Accounting |
Cause of Employment | Replacement |
Type of Employment | Regular |
Roles & Responsilbity | [Treasury] - Handle all incoming and outgoing banking transactions - Reconciliate bank account and actual payment list - Cash control for cash in & investment - Prepare and report monthly cash-flow forecast - Daily Cash Report - Center cash collection and deposit to Bank [Payroll] - Manage overall booking for payroll (Salary, retirement plan, national plan, social insurance, etc.) - Prepare Debit note for expat employees [Others] - Manage Key Money Deposit - Accounting System Improvement - Process audit based on internal policy |
Education | Bachelor's Degree (Majored in Business administration / Economics/Accounting is preferred) |
Year of Experience | 2~4 years’ experience (Must have accounting background/preferably in FMCG, multinational company ) |
Job Skill | - 2+ years of experience in accounting or related job - General understanding on GAAP - Attention to detail - High on integrity - Proactive and energetic, can-do attitude - Strong communication skill - Willing to learn - Team worker |
Language | Fluent written and spoken English (TOEIC Speaking Level 6 and above) |