Responsibilities:
1. Finance/Accounting:
(1)Record daily/transactional journal entries timely and accurately
(2)Handle expense payment process, including review supporting documents, journal entry, and banking activities
(3)Perform monthly, quarterly, and annual closing for the group companies, including necessary reconciliations, accruals, depreciations, amortizations, etc., to ensure timely and accurate presentation of trial balance/financial
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