職位描述
簡介
Responsibilities and duties
- Reconciled bank accounts, including incoming and outgoing funds
- Prepare balance sheet reconciliations, monthly financial statements, and variance analysis for management reporting monthly
- Strive to improve accuracy and timeliness of reporting processes
- Complete assigned tasks at month-end close, producing accurate results promptly (including, but not limited to, accrual analysis, fixed asset and lease analysis, and expenses analysis)
- Generate financial reports as requested
- Work with a wider finance team and other teams to achieve goals and ensure accurate financial data
- Assist with interim and year-end audits
Skills and preferred qualifications
- 1-3 years of experience working in full-cycle accounting or general accounting
- Strong technical accounting knowledge
- Advanced Excel skills
- Strong interpersonal skills, both written and verbal, and problem-solving skills
- Able to multitask, work under pressure, and meet deadlines. You thrive in a fast-paced work environment. You are a proactive problem-solver: You consistently seek better and more efficient ways to complete both your tasks and those of the team.
職位要求
Please refer to job description.
財務報告應付帳款應收帳款總賬ReconciliationTax Compliance預算財務分析會計軟體