Cashier and Administration clerk
出纳及行政文员
Responsibility,
工作职责
Cash in Bank & Cash in hand 现金及银行存款
l Cash management & collection, payment settling现金管理, 收付
l Fulfill bank reconciliation form each month 编制月银行余额调节表
l Liaising with bank 联系银行
l Cash flow forecast 现金流量预测
SAFE issue 外汇
l Export collection declaration 出口收汇核销
l Foreign exchange payment preparation for import and oversea service 进口及境外服务付汇
l Liaising with SAFE bureau 联系税局
Supporting to taxation 税务
l Open invoice 开发票
l Prepare document for VAT and income tax return, manage tax declaration in time. 准备增值税,所得税纳税申报表,及时报税
Accounting daily work 会计日常工作
l Filing vouchers装订凭证
Daily office administration 行政日常工作
l Be responsible for office supplies and replenishment负责办公用品补给
l Booking staff travel订机票
l fixed assets statistics固定资产统计
MINIMUM REQUIREMENTS
基本要求
l Either Male or female is welcome 男女不限
l Fresh graduate is also welcome 应届毕业生亦可
l Bachelor degree in accounting 本科学历,财会专业毕业
l Familiar with PRC accounting principles and policies, have basic command both on laws and regulations in banking, tax, and foreign exchange, etc. 熟悉中国会计准则,会计制度. 基本了解银行,税务及外汇法规.
l Familiar with office software (such as WORD, EXCEL, etc.)..熟悉WINDOWS WORD, EXCEL.
l Fair English in written and oral is preferred. 中等英文书写,口语能力
l Team spirit 团队精神
Sylvia Zhang
ThyssenKrupp (GZ)Stainless Trading Company Ltd.
Tel: 86 20-83963788 ext.206
E-mail: sylvia.zhang@