职位全称:Treasury and Tax Specialist
公司也同时招生相关岗位实习生(每周工作三天或以上)
Job description
1.Responsible for cash flow forecast and payment coordination with FSSC
2.Responsible for AP coordination
3.Responsible for tax working
4.Monthly closing for bank, tax and IC reconciliation
5.Outing for bank, tax bureau, MOC and SAFE
6.Prepare related reporting for bank, tax, AP and IC
7.Responsible for liaise with auditor
8.Filing the voucher
9.Other work assigned by Finance controller
Qualification
1.Bachelor degree or above
2.Accounting Background
3.Good communication skill
4.Good command of spoken and written English
5.Team player and nice personality
6.Work under pressure
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